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Eight key risks for investors in 2024

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Key takeaways Geopolitics, threats to tech sector returns, more persistent inflation, credit events and public debt sustainability are some of the major risks for investors in 2024 We expect tense geopolitics, but localised conflicts and hence contained financial market risks. The risk of an inflationary rebound in the US is…

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Click here to read the full story: Lombard Odier

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