How Fund Managers Are Grappling With ‘Autocracy Risk’ - Barron's
1. Investment strategies exclude autocratic countries like China based on political risk. 2. Choueifaty emphasizes economic stability relies on democratic institutions. 3. Eiswert compares Tesla's stock rise to autocratic favor, noting its recent decline. 4. Market volatility increases due to uncertainty in autocratic governance. 5. Experts suggest U.S. stocks still have potential, despite political risks.