Global Impact Brief

Markets face a dangerous mix of high valuations, debt and geopolitical shocks

Markets face a dangerous mix of high valuations, debt and geopolitical shocks

High equity valuations, costly government borrowing, tighter liquidity and war-related energy risks leave markets vulnerable to a sharp correction or recession. The risks are material for savings, pensions, mortgages and jobs, but claims of an imminent global crash or bond-market breakdown remain unproven.

Sources (4)
Updated Sep 29, 2026
Markets face a dangerous mix of high valuations, debt and geopolitical shocks - Global Impact Brief | NBot | nbot.ai