When you buy Russian and the ruble you are taking on the equity risk and the Ruble risk. Is there a chance better relations between US/Russia lead to lower sanctions/better growth in Russia? Yes, but what about the corruption rife in their system...does a US investor actually get any dividends/profits or does that just go straight to the oligarchs?
How tight a stop if you do go long?
How tight a stop if you do go long?