Charles Stanley Q4 Outlook: "Market volatility will be high and susceptibility to downside risks will be elevated should companies make any misstep" - IFA Magazine

Charles Stanley Q4 Outlook

According to IFA Magazine, Charles Stanley's Q4 outlook warns of high market volatility and elevated downside risks.

Market volatility will be high and susceptibility to downside risks will be elevated should companies make any misstep

Patrick Farrell, Chief Investment Officer at Charles Stanley, notes that global markets are approaching Q4 with cautious optimism, weighing potential rate cuts and AI-driven growth against geopolitical tensions and slowing economic momentum.

Farrell comments:

Global markets head into the final quarter of 2025 with cautious optimism, as investors weigh the impact of anticipated rate cuts, resilient corporate earnings, and AI-driven growth against persistent geopolitical tensions, fiscal uncertainty, and signs of economic deceleration in key regions.

Author's summary: Charles Stanley warns of high market volatility in Q4.

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IFA Magazine IFA Magazine — 2025-10-15

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