INVESTING DURING TIMES OF GEOPOLITICAL TENSIONS episode artwork

EPISODE · Mar 9, 2022 · 6 MIN

INVESTING DURING TIMES OF GEOPOLITICAL TENSIONS

from BNP Paribas Wealth Management · host Investment Strategy podcast

In this podcast, Edmund Shing presents his team’s investment strategy for March 2022. Tensions in Eastern Europe cause turbulence in financial markets. Do not panic! Good reasons to stay the course in stocks. 10%+ stock market corrections happen on average every 1.5 years. What the 5 similar crises reveal: Always looks darkest before the dawn. Defensive investment solutions for investors today. Hosted on Ausha. See ausha.co/privacy-policy for more information.

Episode metadata supplied by the publisher feed · Published Mar 9, 2022

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INVESTING DURING TIMES OF GEOPOLITICAL TENSIONS

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