Why geopolitics is rocking the US stock market

Before Russia invaded Ukraine, there had been quite a bit of research circulating that concluded the impact of such an event to the U.S. stock market .

LPL Financial’s Ryan Detrick looked back at . , the hit to the S&P 500 tends to be relatively light and the volatility tends to be relatively short-lived.

“The combined revenue exposure of the S&P 500 to Russia and Ukraine is about 1%,” FactSet’s John Butters .

With all of this information already out there, why have markets been selling…


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