Global Finance: Interest Rates, Gold, and the Shifting Market Landscape
The financial world in 2025 is in the middle of a major transition. Inflation is cooling, central banks are signaling a change in policy, and investors are deciding how to position themselves for what comes next.
After several years of rapid rate hikes, markets are finally catching their breath. Yet as conditions stabilize, a new kind of uncertainty is emerging that blends economic change, political tension, and cautious optimism.
Read More