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Understanding Geopolitical Risk: Why It Matters for Investors

Nieuws
01-09-2025
Patrick Tuijp
Global disruption and rising geopolitical risks require long-term investors to adopt forward-looking strategies, integrating scenario analysis and portfolio optimization to manage uncertainty effectively.

Why Long-Term Investors Need a New Lens on Global Disruption

In today’s increasingly complex world, geopolitical risk has become a structural feature of the investment landscape rather than an occasional disruption. For long-term investors such as pension funds and asset owners, this shift requires more than passive awareness. It demands an integrated and forward-looking approach to managing uncertainty.

Rather than forecasting geopolitical events or debating political outcomes, this article focuses on how such dynamics intersect with strategic investment planning, particularly in areas where we can provide meaningful support, such as asset-liability management, scenario modelling, stress testing, and portfolio optimization.

From Shock to Structure: Why Geopolitics Can’t Be Ignored

For many years, geopolitical events were viewed as short-term disruptions with limited long-term investment implications. That view is increasingly outdated. Today, persistent global frictions are affecting core dimensions behind asset allocation and portfolio construction. These include economic competition, shifting alliances, demographic pressures, and technology risks.

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