
South Korea’s Warning to Ukraine Adds Geopolitical Risk for Investors
Seoul’s warning to Kyiv adds a new geopolitical risk factor for investors watching Korean assets, defense stocks and Ukraine-war exposure.

Seoul’s warning to Kyiv adds a new geopolitical risk factor for investors watching Korean assets, defense stocks and Ukraine-war exposure.

Zelensky says North Korea plans to send about 10,000 more troops to Russia, raising geopolitical risk for equities, bonds and investors.

President Trump aims for a November meeting with Kim Jong Un at the APEC summit to renew nuclear talks, a move closely watched by markets for its impact on geopolitical risk and investor confidence.

US President Trump orders significant reductions in joint military exercises with South Korea, impacting defense sector equities and investor risk assessments amid geopolitical shifts.

US tariffs up to 100% on drone imports introduce risks and opportunities for investors in defense and technology sectors amid supply chain realignments.

Over 40 countries call for mandatory advance notifications of ballistic missile tests to reduce geopolitical risks and stabilize global capital markets.

Canada’s €100 billion contract with German builder TKMS for advanced submarines boosts European defense equities and signals strong transatlantic market cooperation.

North Korea's recent missile tests have triggered cautious market reactions, affecting equities and bonds in the region amid rising geopolitical risks.

Trump and Xi Jinping meet in Beijing to discuss Iran, trade, and Taiwan, with investors closely watching for impacts on global markets and trade relations.

Octobank's new E9PAY service enables cross-border transfers to HUMO cards from South Korea, potentially boosting Uzbekistan's financial market liquidity and investor interest.

US delays arms shipments to European allies amid Iran conflict strain defense supply chains, impacting equities and bonds in the defense sector.