Investors Prepare For 2025 Market Volatility As Rates Hold Steady
Introduction As 2024 draws to a close, global financial markets are once again on the cusp of change. Investors are bracing for a potentially volatile 2025, driven by economic uncertainty, stagnant interest rates, and changing geopolitical dynamics. While central banks worldwide have decided to maintain interest rates at current levels, the market response has been far from uniform. This article explores the reasons behind investor caution, the strategies being adopted,