
#20 - Matt Smith: Ruffer, Market History, Outlook
Insightful Investor
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Geopolitical Risks and Financial Markets: A Historical Perspective
This chapter explores the relationship between geopolitical risks and financial markets, highlighting their inconsistent impact on long-term market performance. It examines historical contexts and the complexities of geopolitical narratives, emphasizing the need to understand the role of institutions and geography in shaping market responses.
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