
James Aitken – Market Implications of the Situation in Ukraine (Capital Allocators, EP.239)
Capital Allocators – Inside the Institutional Investment Industry
00:00
Intro
This chapter examines how the ongoing situation in Ukraine influences financial markets, highlighting shifts in risk tolerance and disruptions in financial operations. It addresses the intricate relationship between energy markets, ESG considerations, inflation, interest rates, and reserve currencies.
Transcript
Play full episode