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Market volatility and the Russia-Ukraine conflict

The crisis in Ukraine continues to unfold before our eyes. Here, our experts provide timely insights into the potential geopolitical, economic and market implications.

Close up of a MAP of the Ukraine

March 10, 2022

The military and humanitarian crisis in Ukraine has garnered the attention of the world and is roiling financial markets as uncertainty grows over the possible endgame.

Market volatility and the Russia-Ukraine conflict

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Market volatility and the Russia-Ukraine conflict

In this special edition of the Perspectives podcast, Chris Hyzy, Chief Investment Officer for Merrill and Bank of America Private Bank, speaks with a group of experts about what could come next.

Chris is joined first by Ian Bremmer, president of Eurasia Group and GZERO media, on the geopolitical implications. That’s followed by his conversation with Savita Subramanian and Ethan Harris, both with BofA Global Research, who share their perspective on what the crisis could mean for the U.S. and global economies, the equity markets and investment risks and opportunities.

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