#MarketTurbulence
We have witnessed a decline in global stock markets, especially in the technology and startup sectors that were most vulnerable to impact.
Investors prefer safe assets such as government bonds, which increases the pressure on high-risk assets.
Companies are now facing greater challenges in financing and growth, which requires more cautious strategies. Investors must be prepared for volatility, focusing on long-term investment and diversification.
Forecasts indicate that volatility may continue, which calls for flexibility in financial decision-making.