
US & Euro 4Q24/2025 Preview Outlook
Know More. Risk Better.
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Economic Risks and Credit Market Dynamics
This chapter analyzes the looming threat of stagflation, focusing on the interplay between stagnating growth and ongoing inflation. It emphasizes the strain on credit markets and consumer demand, particularly in manufacturing and luxury sectors, while also addressing the implications for future investment in the U.S. and Eurozone.
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