EPISODE · Aug 31, 2020 · 50 MIN
Episode 022 - The Upcoming Market Risk (2020 US Election)
from NewGen Mindset · host Dan Kozel and Nic Tartaglia
On this week's episode, we focus on the next big market risk - the 2020 US Election. The reality of capital markets is one where even politics is a weighted variable to forward look the landscape and predict future price actions. Politics should matter to investors because it matters to the economy, to institutions and companies. We dive into both platforms and breakdown the important questions investors should be asking heading into November. We are at a tipping point in 2020; with COVID-19, the clearly observable chaos and decisiveness between the people around the world, especially in the United States. The United States is a powerhouse on the global stage, and the outcome of political decisions has a huge impact on the direction of the stakeholders in the American economy. This might just be the most important election of our lifetime.
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Episode 022 - The Upcoming Market Risk (2020 US Election)
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