How to (and not to) Trade Geopolitical Risk
Real Vision: Finance & Investing - Un pódcast de Real Vision Podcast Network
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The crisis that had erupted in Ukraine over the past week, as Russian forces had launched their invasion to worldwide condemnation and multilateral sovereign opposition, had reminded all market participants that geopolitical headline risk is inescapable. Be it long-term investors, speculative traders, financial exchanges, corporates, central banks or policy makers - nobody is exempt from exposure to major geopolitical risk, regardless of asset class or region. Weston Nakamura has proactively traded, analyzed and advised on a wide array of market moving geopolitical events, and provides his general guidelines and principles on trading geopolitical headline risk. And while no two events in history are ever the same, these lessons and concepts can be consistently applicable for effective risk management and alpha generation in a perpetually uncertain investment landscape. This video is part one of a series on trading geopolitical risk. Part two will cover Weston’s trading activity during this period of market volatility triggered by the crisis in Ukraine. Follow Weston on Twitter for real-time market updates @acrossthespread Learn more about your ad choices. Visit podcastchoices.com/adchoices