You have to relate markets to geopolitics and politics. Traces history from 2000 tech bubble through 9/11, wars, deficits, 2008 crisis (which exacerbated wealth gap), zero interest rates, QE, monetization of deficits, negative rates, digital tech boom, 2016 populism/Trump election, worsening US-China relations (great power conflict), and the resulting leveraging up of private equity/venture capital.