As concerns rise about the conflict in the Middle East, investors are asking what the impact could be on financial markets, especially if tensions escalate further and for a prolonged period.
While no one knows for certain how the crisis could evolve, reviewing similar events in history may help investors assess the potential impact on their portfolio. In this episode of Buckingham Perspectives, Head of Investment Research Jared Kizer addresses investors’ concerns about geopolitical risks and shares insights on making portfolio adjustments based on these events.
Buckingham Weekly Perspectives: How Could Rising Geopolitical Risks Affect the Markets from Buckingham Wealth Partners on Vimeo.