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Geopolitical knock-on risk spooks investors

Analysis and diversification can help minimise market impact

Geopolitical knock-on risk spooks investors

Geopolitical events that affect investment decisions may be growing in frequency but managers are divided over how best to mitigate the risks.

In February, Greece's credit rating was downgraded by Standard & Poor's from B to B-minus. S&P warned the country was on the brink of default, and could be forced to leave the European single currency following the election of the left-wing party Syriza, which opposes austerity measures.

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