Torsten Sløk警告2026年五大经济风险:通胀、美联储政策转变、地缘政治、能源波动和住房不稳定。
Torsten Sløk warns of five major 2026 economic risks: inflation, Fed policy shifts, geopolitics, energy volatility, and housing instability.
阿波罗全球管理首席经济学家Torsten Sløk概述了2026年的五大风险,包括持续通货膨胀、美联储意外政策转变、扰乱供应链的地缘政治紧张局势、能源市场波动以及住房部门不稳定。
Apollo Global Management’s chief economist Torsten Sløk has outlined five key risks for 2026, including persistent inflation, unexpected Federal Reserve policy shifts, geopolitical tensions disrupting supply chains, energy market volatility, and housing sector instability.
他强调,公司收入、劳动力市场趋势、财政政策和贸易关系可能会对经济成果产生重大影响。
He highlights that corporate earnings, labor market trends, fiscal policy, and trade relations could significantly influence economic outcomes.
虽然美国经济显示出弹性, Sløk警告说可能会发生意外, 并敦促投资者在全球变化不定的情况下保持警惕和适应性。
While the U.S. economy shows resilience, Sløk warns of potential surprises and urges investors to stay vigilant and adaptable amid evolving global uncertainties.