The markets are more concerned about the 2020 elections than the Mueller report, portfolio manager says

6:46 AM ET Mon, 25 March 2019

Attorney General Bill Barr released a summary of the special counsel's finding into the investigation of whether President Trump colluded with Russia during the 2016 presidential election. Ed Campbell, managing director and senior portfolio manager at QMA, and David Lebovitz, global market strategist at JP Morgan, and Sam Stovall, chief investment strategist at CFRA, join "Squawk Box" to discuss what this means for the markets.