
Stock market fragility
FT News Briefing
00:00
Navigating the Risks of Stock Market Fragility
This chapter explores the vulnerabilities in the stock market caused by increasing interest rates and inflation, highlighting the complexities that challenge traditional central bank support. Despite a long-term optimistic outlook, it addresses concerns about short-term volatility and the intertwining of public and private market dynamics.
Play episode from 06:17
Transcript


