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Jamie Dimon warns on market risks, avoids stocks and bonds


Dimon made the comments in an interview with the Master Investor Podcast with Wilfred Frost, recorded July 16 and released Monday. “I do think those risks are probably bigger than other people think,” he said, citing the ongoing conflicts in Ukraine and the Middle East, U.S.-China tensions, and an increase in military expenditure at a time when government deficits are expanding.



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