Head of Portfolio Specialists MLC
“In financial markets, monetary policy and macroeconomics trump geopolitics – at least for the time being.”
Brian Parker, discusses why financial markets seem complacent about the geopolitical risks the world is facing.
how there is currently an elevated level of geopolitical risk
what the possible investment implications of these risks are, and
why the impact on financial markets has been limited so far.
Read the full report - Current geopolitical risks and the parallel universe of financial markets
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