Geopolitical risks are rising – but oil markets dismiss them
Rarely does a month go by without a major geopolitical incident in the Middle East.
Rarely does a month go by without a major geopolitical incident in the Middle East.
Managers of multi-asset funds are shifting their portfolios away from equities and increasing their holdings in gold, government bonds and currencies, in efforts to shield returns from what they anticipate will be a volatile Q4.