PERSPECTIVES Weekly: The Investment podcast

How markets are viewing geopolitical risks

Jan 25, 2026
Deepak Puri, Chief Investment Officer for the Americas at the Private Bank, offers market commentary on macro, geopolitical risks and monetary policy. He explains why markets often shrug off geopolitical events unless they alter the macro backdrop. He discusses hedging and defensive positioning, what to watch from the Fed, and looming political and policy risks that could move markets.
Ask episode
AI Snips
Chapters
Transcript
Episode notes
INSIGHT

Geopolitics Often Creates Noise Not Trends

  • Geopolitical events often trigger market noise but rarely change the macro backdrop.
  • Markets typically shrug off threats unless they translate into implemented policy changes.
INSIGHT

Threats Can Matter More Than Implementation

  • Threats from policy announcements can matter more than proposals themselves.
  • With this administration there often appears a gulf between threats and actual implementation.
ADVICE

Defend Portfolios With Hedges And Diversification

  • Rotate into defensive, low-beta positions and consider tail hedges to guard portfolios.
  • Add real assets like gold and diversify across geographies and sectors.
Get the Snipd Podcast app to discover more snips from this episode
Get the app