
Ian Bremmer on What Investors Should Know About Ukraine and Russia
The Compound and Friends
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Geopolitical Tensions and Market Volatility
This chapter examines the financial and economic consequences stemming from the Ukraine-Russia conflict, focusing on its potential escalation and the volatility in financial markets. It discusses the ramifications of divestment from Russian assets, market reactions, and historical parallels to past crises, all while highlighting the role of technology in trading responses.
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