Feb 28, 2022
Occasionally, an event takes place
that causes investors to reassess risk. Russian’s actions in
Ukraine last week could be a tipping point for one of those
events.
In a divergence from our normal show, I reached out to Marko Papic
to see what we could learn.
Marko is the Chief Strategist at Clocktower Group, where he
provides research on geopolitics, macroeconomics, and markets. He
is a past guest on the show, and that conversation is replayed in
the feed.
Our conversation tackles the implication of the events in the
Ukraine on geopolitics and markets over time. We cover Russia, the
U.S., oil, China, and answers to the most pressing questions his
clients are asking in response to last week’s event.