
About this episode
In this special episode, we review the relationship between war and financial markets. War is a tragedy. We are not minimizing the humanitarian tragedy of what is happening in Ukraine by focusing on the potential impact on financial markets. But we are offering a Rational Reminder for investors in a stressful time. Wars and financial markets have coexisted, and often been intertwined, for hundreds of years. Countries that have lost major wars have had their financial markets decimated, while global markets have been relatively resilient, even to major conflicts. In addition to the historical perspective, we offer some timeless lessons for investors to remember in times of stress.
Get every episode summarized
Each time The Rational Reminder Podcast publishes, we email you a written briefing from the transcript — the topics, who appeared, and any specific claims, with the ad reads skipped.
Email me new episodesFree for 3 shows. No card needed.
Hosts & guests
No transcript yet
This episode has not been transcribed. Request it and it moves to the front of the queue.
More episodes
More from The Rational Reminder Podcast

Episode 405: Timothy Edwards - Inside S&P DJ Indices
The Rational Reminder Podcast
Apr 16, 20261:03:49failed

Episode 404: The Finance Paper that Changed Everything
The Rational Reminder Podcast
Apr 9, 20261:03:20failed

Episode 403: Patrick Adams - When Stock Crashes Matter for Long-Term Investors
The Rational Reminder Podcast
Apr 2, 20261:04:01failed

Episode 402: The Problem with Private Markets
The Rational Reminder Podcast
Mar 26, 20261:02:00failed