The first quarter of the year has been anything but calm for global financial markets. US Treasuries and tech stocks have been roiled by rising expectations that US inflation is set to come back with a vengeance, which could see the Fed adjusting its policies sooner than expected.
But is the market volatility over? What’s next that could jolt stock markets, the dollar, and emerging economies over the next 3 months?
Listen in as Han Tan and his guest, Chief Market Strategist Hussein Sayed outline key events that investors and traders have to look out for in Q2.