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Worries about instability in the Middle East, coupled with concerns over U.S. debt hitting $40 trillion, are driving geopolitical risk and market volatility.

4 reports, 4 independent Updated Sep 6
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Well supportedReported by 4 independent outlets

Worries about instability in the Middle East, coupled with concerns over U.S. debt hitting $40 trillion, are driving geopolitical risk and market volatility.

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  1. Renewed fighting combined with high US debt is causing inflation shock threats in global bond markets.1 source
  2. Middle East instability combined with concerns over US debt hitting $40T is causing global market volatility.1 source

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