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Simplify Asset Management:2025年末政财消息或引市场波动
Sou Hu Cai Jing·2025-10-14 14:30

Core Insights - Simplify Asset Management's multi-asset solutions head, PAIsley Nardini, indicates that the market may experience greater volatility towards the end of 2025 due to political and fiscal news as well as Federal Reserve policies [1] - The market's sensitivity to new information has increased, reflecting its vulnerability [1] Group 1 - The potential for increased market volatility in late 2025 is linked to political and fiscal developments [1] - Federal Reserve policy decisions are expected to play a significant role in influencing market conditions [1] - The heightened sensitivity of the market to new information suggests a fragile market environment [1]