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The lingering economic puzzles from 2025 and the emerging shifts in market dynamics suggest we're at an inflection point where traditional policy frameworks need serious rethinking. When you look at what's unfolded in recent months—persistent inflation volatility, unexpected financial sector adjustments, new regulatory directions—it becomes clear that markets can't rely on yesterday's playbook.
These aren't just academic questions anymore. They're actively shaping how capital flows, where institutional players hedge their bets, and what volatility we can expect going forward. The real issue isn't having perfect answers; it's recognizing that markets and policymakers need to recalibrate their assumptions. What worked in 2024 is already showing cracks.
The sooner we shift from reactive positioning to anticipatory strategy, the better positioned we'll be for whatever comes next in these markets.