investor risk aversion
Global Markets Brace for Impact as Investor Risk Aversion Escalates Amidst Geopolitical Tensions and Economic Headwinds
Global financial markets are currently navigating a treacherous landscape marked by a pronounced surge in investor risk aversion. As of October 16, 2025, a potent cocktail of persistent geopolitical instability, enduring economic uncertainties, and lingering concerns over banking sector fragility has compelled investors to retreat from riskier assets, fundamentally reshaping