🚨 Market Alert — Geopolitical Risk Intensifies
A reported May 15 deadline and escalating political pressure have increased uncertainty around Ukraine aid and geopolitical stability. This has the potential to shift markets rapidly.
Key takeaways: • Risk of regime change and heightened conflict risk
• Market volatility is rising — especially in risk assets
• Uncertainty can create opportunity for disciplined investors, but also sharp drawdowns
⚠️ This is not financial advice — trade carefully and manage risk.