Key Global Shifts Reshape Investment Strategies Amid Stagflation and Recession Fears
Rising stagflation risks and recession probabilities are forcing investors to rethink traditional strategies. VanEck highlights the growing threat of stagnant economic growth paired with high inflation, a scenario that could destabilize portfolios across asset classes.
Geopolitical realignments add another layer of complexity. Exchange rate volatility, capital controls, and regional instability demand nuanced approaches to capital allocation. The report underscores a flight to defensive assets—yet crypto markets remain conspicuously absent from the analysis.