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Global Economic Outlook 2025: Debt Market and Inflation. Are Investors Aware Of?
Written by Shan Saeed, IQI Chief Economist 2025 begins amidst heightened geopolitical tensions, causing nervousness in equity and bond markets. Inflation is re-emerging in advanced economies, creating challenges for central banks. The debt market signals divergence, with the U.S. Federal Reserve cutting rates by 100 basis points since September, yet 10-year yields have risen from…