Dealing with geopolitical risk is a fundamental aspect of both managing investment portfolios and running financial services companies. This year has seen more of it than most.
The situation in the Middle East escalated dramatically as regional rivals exchanged air raids and missile strikes.
As we begin the second half of 2025, a fragile ceasefire between Iran and Israel is in place. This agreement ended the ‘12-day war’ between the two sides, which also saw direct American involvement in aid of Israel.
Sign in to read the full article or Register for FREE and get access
SIGN IN
FREE PREMIUM ACCOUNT
Don't have an account yet?
To access
the premium content FOR FREE on Insurance Investor, you must first sign in to your account.
Not subscribed? Sign up today for free
Why subscribe? Click here for more details