How are rising interest rates influencing investment decisions across asset classes and which specific sectors or industries are more vulnerable to interest rate hikes?
What strategies are investors adopting to navigate the challenges posed by higher borrowing costs?
How is the specter of inflation affecting investor confidence and market dynamics?
What role do central banks play in managing inflation expectations, and how might their policies evolve in response to current economic conditions?
How are geopolitical tensions impacting market volatility and investor sentiment?
What risk management strategies should investors consider when assessing ongoing global uncertainties?