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Torsten Sløk warns of five major 2026 economic risks: inflation, Fed policy shifts, geopolitics, energy volatility, and housing instability.
Apollo Global Management’s chief economist Torsten Sløk has outlined five key risks for 2026, including persistent inflation, unexpected Federal Reserve policy shifts, geopolitical tensions disrupting supply chains, energy market volatility, and housing sector instability.
He highlights that corporate earnings, labor market trends, fiscal policy, and trade relations could significantly influence economic outcomes.
While the U.S. economy shows resilience, Sløk warns of potential surprises and urges investors to stay vigilant and adaptable amid evolving global uncertainties.
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Torsten Sløk advierte de cinco riesgos económicos principales en 2026: inflación, cambios en la política de la Fed, geopolítica, volatilidad energética e inestabilidad de la vivienda.