
From Russia with Risk
Chain Reaction
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Navigating Political Risk in Investment Decisions
This chapter explores the multifaceted nature of political risk, emphasizing its significance for companies in resource-related investments. It discusses various factors that contribute to political risk, including geopolitical dynamics and market behavior, while illustrating these concepts with real-world examples like Venezuela's debt situation. The chapter underscores the necessity of horizon scanning and scenario planning to navigate uncertainties and ensure informed decision-making in volatile environments.
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