Global Markets | From Q1 rout to Q2 risks: Investors face an uncertain road ahead

Global markets are experiencing extreme volatility. Geopolitical events and changing monetary policies are impacting investments. Energy prices have surged, and interest rates have risen unexpectedly. Traditional safe-haven assets like gold are underperforming. Investors are reassessing strategies as the global economy navigates uncertainty. The outlook for the next quarter remains unpredictable.