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Marko Papic on What Markets Got Wrong About Russia's Invasion of Ukraine

Odd Lots

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Geopolitical Shifts and Market Responses

This chapter examines Russia's mobilization of reservists for the Ukraine conflict and the varied investor reactions to this event. It delves into the implications of military strategy on investment, the historical context of the mobilization, and the broader macroeconomic factors influencing the market amidst ongoing geopolitical tensions.

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