
Sovereign Debt Markets Facing Turmoil in 2025?
The Loonie Hour
00:00
Navigating Market Volatility: Real Estate and Sovereign Debt
This chapter explores the volatility in financial markets, focusing on the Canadian real estate sector and sovereign debt as we approach 2025. It highlights the disconnect between wage growth and real estate prices, emphasizing the challenges faced by average earners in property ownership. The conversation also delves into long-term economic implications and political actions that may shape market expectations and currency values.
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