Global markets have witnessed a lot of volatility in the opening weeks of 2022 as investors are concerned about growing inflationary risks, increasing energy costs, potential rate hikes, monetary tightening from central banks, supply chain disruptions, and continued geopolitical tensions.
Read our Head of Investment Research Vrasidas Neofytou detailed analysis on the hot topic in "Economy Today" magazines February's issue*.
*Article available in Greek.
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