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Short Trend Summary
Despite challenges, USD capital markets, particularly US equities driven by the IT sector, are expected to maintain their dominance.
USD Capital Market Dominance- Navigating Global Uncertainty
- Bond markets
- Currency markets
- Equity Markets
- Global Finance
- Business & Commerce
- Finance & Money
Despite challenges, USD capital markets, particularly US equities driven by the IT sector, are expected to maintain their dominance.
Julius Bar: Secular outlook 2025USD Capital Market Dominance
Despite challenges, USD capital markets, particularly US equities driven by the IT sector, are expected to maintain their dominance. -
Short Trend Summary
After a period of financial repression, interest rates are returning to levels closer to their historical averages.
Interest Rate Normalization- Navigating Global Uncertainty
- Bond markets
- Government Debt
- Investment strategies
- Monetary Policy
- Business & Commerce
- Finance & Money
After a period of financial repression, interest rates are returning to levels closer to their historical averages.
Julius Bar: Secular outlook 2025Interest Rate Normalization
After a period of financial repression, interest rates are returning to levels closer to their historical averages. -
Short Trend Summary
Sustainable bank bond issuance is expected to decline in 2025, reflecting lower overall issuance volumes and modest growth in sustainable loan portfolios.
Sustainable Bank Bond Issuance- Navigating Global Uncertainty
- Values-Driven Consumption
- Bond markets
- Green Finance
- Sustainable Lending
- Finance & Money
- Sustainability
Sustainable bank bond issuance is expected to decline in 2025, reflecting lower overall issuance volumes and modest growth in sustainable loan portfolios.
ING: Bank outlook 2025Sustainable Bank Bond Issuance
Sustainable bank bond issuance is expected to decline in 2025, reflecting lower overall issuance volumes and modest growth in sustainable loan portfolios. -
Short Trend Summary
Increased fiscal expansion in several countries, including the US, Japan, the UK, and some emerging markets, raises the risk of higher terminal rates and increased inflation.
Rising Fiscal Risks- Navigating Global Uncertainty
- Bond markets
- Inflation
- Interest rates
- Business & Commerce
- Finance & Money
- Global Challenges
Increased fiscal expansion in several countries, including the US, Japan, the UK, and some emerging markets, raises the risk of higher terminal rates and increased inflation.
Goldman Sachs: Markets outlook 2025...Rising Fiscal Risks
Increased fiscal expansion in several countries, including the US, Japan, the UK, and some emerging markets, raises the risk of higher terminal rates and increased…