Capital Economics: Three key lessons on geopolitical risk and markets

The war between Hamas and Israel – and the potential for escalation to the wider region – has increased the uncertainty around the economic and financial market outlook, but in most scenarios is unlikely to generate a sustained hit to major asset markets. This Focus considers how that may change, and what the lessons from previous geopolitical…...

Membership Required

You must be a member to access this content.

View Membership Levels

Already a member? Log in here