: High public debt, potential for renewed trade tensions, and the uncertain duration of current geopolitical agreements remain key downside risks.
: Global equity funds saw a $20.3 billion sell-off in the week ending March 18, the largest in three months. Global equity funds face weekly outflows on gro...
: Brent crude prices stabilized below $100 per barrel in mid-April, easing immediate concerns about energy-driven inflation. Early 2026 Sell-off Context : High public debt, potential for renewed trade