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Markets often panic during geopolitical crises, but history tells a more nuanced story. In this episode of Nivesh Pe Charcha, Mukul Pareek speaks with Mr. Kapil Holkar (Founder & CEO, Equations) on how markets behaved during events such as the Russia-Ukraine crisis in 2022 and the World Trade Centre attack in 2001, and what happened after the fall. The discussion highlights that while it is very difficult to predict the exact bottom, past data shows markets have often recovered strongly from their lowest levels. The key takeaway is not that every fall should be bought blindly, but that panic during major global events does not always reflect how markets behave over the next few months. Key points: • What history says about markets during geopolitical crises • Russia-Ukraine in 2022 and the 2001 World Trade Centre attack • Why the exact bottom is still hard to predict • Why markets have often recovered from panic lows