As 2025 comes to a close, markets appear calmer than the political and geopolitical backdrop would suggest. Risk assets delivered strong returns across most regions, supported by excess liquidity, fiscal flexibility, and investor confidence in a soft-landing narrative. Yet beneath the surface, the global economy remains fragmented, with growth increasingly uneven across sectors, regions, and income cohorts.
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Year-End Review (WM)
- Published:
18 Dec 2025 - Author:
-
Pages:
7 -
As 2025 comes to a close, markets appear calmer than the political and geopolitical backdrop would suggest. Risk assets delivered strong returns across most regions, supported by excess liquidity, fiscal flexibility, and investor confidence in a soft-landing narrative. Yet beneath the surface, the global economy remains fragmented, with growth increasingly uneven across sectors, regions, and income cohorts.