Global markets faced heightened volatility this week as investors reacted to mixed economic data and geopolitical tensions. Uncertainty around interest rate policies, coupled with declining tech stocks, contributed to a sharp dip in major indices. Analysts warn that inflation concerns and sluggish global growth could continue to weigh heavily on investor sentiment. Meanwhile, oil prices spiked due to supply chain disruptions, adding further pressure. Market participants are advised to remain cautious and diversify portfolios to navigate the current climate. As central banks prepare for upcoming policy decisions, all eyes remain on key economic indicators. #MarketTurbulence
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