
Splashing out
Wake Up to Money
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Geopolitical Tensions and Investment Strategies
This chapter explores significant geopolitical developments in the Middle East, particularly Israel's military actions and their implications for global commodities and investor strategies. It highlights how such events affect market sentiment, alter risk perceptions, and push trends towards dual-use technologies. Additionally, it delves into the UK's financial landscape and the challenges of managing national debt amidst evolving economic conditions and political promises.
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