Market Volatility
Market Turbulence Ahead: Navigating Divergent Monetary Policies and Geopolitical Crosscurrents
As December 2025 draws to a close, global financial markets find themselves in a period of heightened volatility, a complex tapestry woven from disparate central bank strategies, a fragile global economic outlook, and persistent geopolitical tensions. Investors are grappling with significant shifts, most notably a projected interest rate cut by