Global GDP Themes and Forecasts (Infographic)
Tightening financial conditions, marked by higher interest rates and volatility, have injected an unfamiliar dynamic into financial markets in 2022. Inflation has surprised to the upside in many places, albeit to varying degrees. Through the remainder of 2022, we could get more evidence of how persistent inflation is likely to be. We think the marketās interpretation and subsequent pricing of these factors is likely to lead to volatility across global credit, rates and foreign exchange.
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