Financial markets are grappling with a shifting global economic landscape as traditional neoliberal policies lose influence. Investors are now confronting what some describe as an ‘economic paradigm vacuum,’ where established models no longer provide reliable guidance. With rising geopolitical tensions, evolving monetary policies, and structural changes in labor and trade, institutional fund managers are reassessing long-held assumptions about growth and risk. This transition period has introduced heightened uncertainty, prompting a reevaluation of asset allocation strategies and long-term investment frameworks. Experts suggest that new economic doctrines may eventually emerge, but in the interim, market participants must operate within a more unpredictable and fragmented environment.
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Investors face ‘economic paradigm vacuum’ post-neoliberalism Top1000funds.com