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Market Predictions and Economic Shifts for 2025
This chapter examines market forecasts for 2025, focusing on liquidity concerns and investor challenges influenced by corporate debt refinancing. It further explores the implications of U.S. deficit spending and the shifting dynamics of global economies, including the potential effects of protectionist policies by future administrations. The discussion encourages adaptability in financial strategies while analyzing the evolving roles of government intervention and public perception in economic recovery.