Global Markets Face September Risks
Global markets face a challenging September with rising concerns over government debt, inflation, and upcoming central bank meetings in the US and Japan. Investors are also tracking geopolitical tensions and major tech IPOs.
Xurve View
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Xurve View

Global markets face a heavy slate of macroeconomic risks in September, driven by escalating conflict in Iran and looming central bank decisions. Traders return from August breaks to navigate shifting energy supplies and stretched valuations. The convergence of fiscal showdowns and policy shifts threatens to test portfolio buffers built over the summer.








