
Robert D. Kaplan: How to Invest Wisely in an Age of Permanent Crisis
Barron's Advisor
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Geopolitical Tensions and Financial Markets
This chapter explores the impact of geopolitical events on financial markets, focusing on potential conflicts between the U.S. and China and their implications compared to other global tensions. It highlights the role of economic mutual dependence as a stabilizing force and discusses the unpredictability of future conflicts in relation to market behavior.
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