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US & Euro 4Q24/2025 Preview Outlook

Know More. Risk Better.

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Navigating Financial Landscapes: US and Euro Markets Outlook

This chapter analyzes the financial outlook for the US and Euro markets as they head into 2024 and 2025, focusing on the stabilization of long-term yields and potential election-related volatility. Key themes include central bank policies, investment flows, and the implications of economic measures from China, along with audience polls revealing market risk perceptions. The discussion further delves into interest rate cuts, inflation expectations, and geopolitical challenges within Europe that may influence economic policy and market dynamics.

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