How will the global economy develop in the coming quarters? How will the monetary policies of the central banks differ? What scenarios are likely for the key financial markets? What are the associated specific medium-term forecasts (three weeks to a year)? What political risks could change the scenario completely?
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Until recently, financial markets assumed recession and higher interest rates. However, the major economies are holding up so well - especially the U.S. economy - that this view is beginning to waver. Is this justified?
Which paths will European countries take in the most likely scenarios for the geopolitical showdown between Beijing and Washington?