Ukraine Conflict Causes Market Volatility | Weekly Round Up
Podcast |
On the Margin
Publisher |
Blockworks
Media Type |
audio
Categories Via RSS |
Business
Business News
News
Publication Date |
Feb 26, 2022
Episode Duration |
00:57:03
In this week's round up, Mark and I dug into the investor uncertainty caused by the Russia Ukraine conflict. Disclaimer: war is always first and foremost a humanitarian crisis. It goes without saying that our hearts go out to Ukraine and those involved in the conflict. Mark and I focused on the markets angle because we aren't geopolitical experts and that is where our expertise lies. The most important part of this story is, of course, the human side. We began with the response in US equities to the news of the invasion, including the Nasdaq's move higher. We also covered the behavior of Russian equities and debt markets. Other topics we went over include the inverted correlation between gold and Bitcoin, energy prices, investor sentiment, and historical analogs based on past war time. Finally, we concluded with a discussion around SWIFT and the potential deplatforming of Russia. For that take, you'll have to watch the episode. -- Follow Mark Yusko: @MarkYusko Follow Mike: @MikeIppolito_ Follow Blockworks: @Blockworks_ -- Fireblocks is an enterprise-grade platform delivering a secure infrastructure for moving, storing, and issuing digital assets. Fireblocks serves over 725 financial institutions, has secured the transfer of over $1.5 trillion in digital assets, and has a unique insurance policy that covers assets in storage & transit. For more information, please visit https://onthemargin.link/fireblocks -- If you like this episode be sure to subscribe to our newsletter at https://blockworks.co/newsletter

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