2 claims in “geopolitics, finance”
There is a non-zero possibility that the Russia-Ukraine war escalates in a way that is really, really, really dangerous, with potential for rapid market shock of 20-30% stock market decline.
Most years, geopolitical risk is cited as a concern by analysts and investors even when tensions are low, making it a cliché that loses credibility; only certain years does geopolitical tension become real hostility with measurable market impact.