As 2025 unfolds, global investors face rising uncertainty. From US debt shocks to bond market bedlam, this post unpacks the risks—and rare opportunities—ahead.
Japan may liquidate $1.1 trillion in U.S. treasuries, potentially triggering interest rate spikes, recession, and global economic instability.
Bank of America warns investors to sell U.S. stocks and dollars, citing weak fundamentals, a fragile tech rally, and a looming economic downturn.
Trump’s trade and capital wars are reshaping U.S. economic stability, triggering volatility, capital flight, and a global reassessment of America’s financial role.
Explore how billionaire wealth surges while the middle class struggles. A deep dive into inequality, tax loopholes, and the fading American dream.
As the Fed prepares possible hedge fund bailouts, investors flee to gold. Are we facing another financial crisis? Discover the risks and how to prepare.