Managing Political Risk

2 weeks ago

The start of 2022 has seen both bonds and equities rocked by geo-political risks ranging from Russia’s invasion of Ukraine and Canada’s action against protestors to ‘Partygate’. Kevin Doran takes a look ahead into what the consequences of these and other actions may be, and how you could navigate the markets at the height of political unrest.

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Kevin Doran

Kevin Doran

Job Title
Chief Investment Officer

Kevin graduated with a First in Mathematics and Theoretical Physics from the University of Liverpool, and began his career in the financial services industry as an Investment Analyst, eventually progressing to become Chief Investment Officer at a major private bank. He then took on the position of Group Head of Research & Strategy for a Luxembourg-based private banking group, before moving into a number of consultant roles for various investment management and banking businesses. In October 2017 he joined AJ Bell Investments as Managing Director and CIO. He is a CFA charterholder.

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