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Why Liquidity Risk Is the Overlooked Blind Spot in Institutional Portfolios

Alex Tsepaev, chief strategy officer at B2PRIME Group, examines why liquidity risk remains one of the most overlooked vulnerabilities in institutional investing. Tsepaev argues that the events leading up to the collapse of Silicon Valley Bank exposed a deeper systemic issue: investors’ persistent assumption that liquidity will always be available. He analyzes the geopolitical, regulatory and technological factors reshaping liquidity in 2025, and the questions institutional investors must start asking to protect themselves.

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