Global financial markets experienced mixed reactions as renewed concerns over inflation and interest rate policies influenced investor sentiment.
Major stock indices in parts of Europe, Asia, and North America recorded fluctuations, with analysts citing uncertainty around monetary policy decisions by central banks. Rising energy prices and supply chain pressures continue to contribute to inflation risks in several economies.
Economists warn that prolonged inflation could affect consumer spending, business investment, and economic growth. However, some analysts believe cautious policy adjustments could help stabilize markets in the medium term.
Investors are expected to closely monitor upcoming economic data releases and policy statements for clearer direction.

