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Russia-Ukraine Crisis: A Double-Edged Sword
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Relook at the historical S&P 500 index performances during wartimes

As long as the wars were far from the American homelands, the US stock market literally were not affected much one month after the wars were commenced.
Cheering for the Russia-Ukraine conflict was just the tactical strategy of the Biden administration to divert domestic attention to overseas, and attack the European stock markets and the euros to solve U.S.'s high inflation and high Government debt problems.
Therefore, I would buy every dip of the qualities.
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