Global markets are moving cautiously as investors await new policy signals from major central banks. Currency volatility is rising, especially in emerging markets, where rate decisions could reshape capital flows. Equity traders are watching for clues on inflation trajectories and economic resilience. With geopolitical tensions simmering, safe‑haven assets are seeing renewed interest. The next few weeks may set the tone for global risk appetite as policymakers balance growth concerns with inflation control. Investors are positioning defensively while keeping an eye on sectors poised to benefit from policy clarity.
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