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Economic and financial risk insights : global economic prospects improve in the near-term despite a still-challenging policy backdrop

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      <subfield code="a">The document highlights an improved near-term global economic outlook despite persistent policy challenges, with upward revisions to US GDP growth driven by strong consumer spending and AI-related investment, while euro area and China also show modest gains; inflation is expected to remain above target in the US but ease in Europe and China, and interest rates are projected to stabilize with limited further cuts; key risks include financial market instability, geopolitical tensions, fiscal vulnerabilities, labour market constraints, and political uncertainty, while upside potential stems from easing trade frictions, technological productivity gains, and conflict resolution; the report also includes regional forecasts and recent expert publications on South Africa, US property and casualty markets, marine insurance in China, metabolic health, and climate-related catastrophe losses</subfield>
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