
Will war trigger a bear market and spike in oil?
Investing Experts
Geopolitical Tensions and Financial Markets
This chapter explores the potential ramifications of escalating geopolitical tensions, particularly an impending conflict between Israel and Iran, on financial markets. It highlights the risks for bond investors amid possible inflationary pressures from an oil shock and underscores the importance of rational discourse in navigating these uncertainties.
00:00
Transcript
Play full episode
Remember Everything You Learn from Podcasts
Save insights instantly, chat with episodes, and build lasting knowledge - all powered by AI.