Heightened risk of a significant correction in the US stock market within the next six months to two years.
There were a “lot of things out there” creating an atmosphere of uncertainty, pointing to risk factors including geopolitical tensions, fiscal spending, and global remilitarisation.
Dimon expressed caution about the US economic outlook last month, warning that the full impact of tariffs, immigration, geopolitics, and President Donald Trump’s tax and spending policies remains uncertain due to their long-term cycles.
Source: Reuters
https://www.businesstimes.com.sg/compan ... n-risk-bbc
