2026 Debt Walls And A Likely Bear Market In Stocks
2026-01-12 03:59:18 ET
For 2025, I forecast that overvaluation and uncertainty are a path to correction in 2025. By April we had a sharp and deep correction. Animal spirits and the last QE liquidity left in the system then drove a massive recovery rally back to new highs by year-end.
As we enter year 2 of the Presidential cycle in 2026, I believe that a combination of factors will lead both asset allocation and security selection to be more difficult. I believe that risk is higher than last year and that as a result, volatility will be greater....
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2026 Debt Walls And A Likely Bear Market In StocksNASDAQ: RKLB
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