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U.S. market fallout from Russia-Ukraine strife may be brief, some strategists say

By Davide Barbuscia and Devik Jain (Reuters) - As the S&P 500 hovers near correction territory, Wall Street is gauging the further effect of the conflict between Russia and Ukraine on asset prices, with some strategists warning investors to keep their cool and focus on longer-term market trends.
New York United States Charles Henry Monchau Davide Barbuscia Ira Iosebashviliediting Jennifer Mckeown

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