Nomura

Into 2018-Geopolitics

There is an undeniable correlation between geopolitics and markets.

In the last couple of years, we have been reminded exactly how strong that correlation is with Brexit, the US election and the turmoil in the Middle East. Will geopolitical concerns continue to dominate markets in the year ahead and what should investors do to mitigate the risks?

In this video, Lewis Alexander, Head of Fixed Income Research, America, Bilal Hafeez, Head of Fixed Income Research, EMEA, Jordan Rochester, G10 FX Strategist, Renuka Fernandez, Senior European Rates Strategist, and Wendy Liu, Head of China Equity Research, share their views on how geopolitics could shape markets in the year ahead.

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