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Macro Risk, Geopolitics, and Market Volatility

This cluster covers broad macroeconomic and geopolitical risk factors—including Middle East tensions, Strait of Hormuz disruptions, oil price shocks, tariffs, and inflation—and their cascading effects on equity markets, sector rotation, supply chains, and investor sentiment across tech, energy, and commodities.

Mapping Meta's Geopolitical Tail Risk Exposure

By KAPUALabs
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