MacroScope: Inflation Volatility Seen Reviving Key Market Risks
2026-07-23 13:19:21
Rising inflation volatility is expected to trigger earnings disappointments, wider credit spreads and greater swings in stock and bond prices, according to Bloomberg. The outlook suggests the most fundamental macro risk is returning to the forefront for markets.
Disclaimer:
1. The information provided does not constitute investment advice. Investors should make independent decisions and bear all risks themselves.
2. The copyright of this content belongs to the original author. The views expressed herein are solely those of the author and do not represent the stance or position of this website.