David Epstein, CFA, has spent nearly 20 years as a research analyst on both the sell-side and buy-side, focused all across the capital structure. He has long studied nuclear risks and is trying to educate the financial and business communities on what they can do in terms of prevention and preparation. He has an MBA in finance from UCLA and a BS in psychology from Johns Hopkins. He can be reached at [email protected].
In the wake of Russia’s attack on Ukraine, the risks of nuclear conflict have become clearer both inside and outside the world of finance.
The financial community should work to reduce nuclear risks the same way it does those of climate change.