Geopolitical Turmoil Rattles Markets – But Investors Shouldn’t Panic
Russia’s invasion of Ukraine has shifted investors’ primary fear from the Federal Reserve to geopolitical risk as tensions between NATO countries and Russia over Ukraine have fueled the latest bout of market volatility. According to a recent Gallup survey, 75% of investors worry about geopolitical risk. Unfortunately, since geopolitical risks are impossible to accurately model, […] Read more at ETFtrends.com.