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        Weekly Economic Perspectives Quarterly Edition: Global Growth Retreats in Face of New Shock


        14 March 2022
        Simona M Mocuta
        Chief Economist
        Amy Le, CFA
        Investment Strategist
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        When we last published quarterly forecasts in December, the consensus view was that Omicron was the most prominent risk to the outlook. We argued at the time that this was a misperception insofar as Omicron would fade fairly quickly but would leave in its wake a more lasting challenge: global central banks poised to unwind the enormous liquidity support provided since the start of the Covid crisis. Until the invasion of Ukraine, much of the economic debate and market moves this year were indeed dominated by expectations around this impending policy tightening. The invasion of Ukraine briefly derailed those expectations but as of this writing market pricing for rate hikes is essentially back to (if not even more aggressive) than where it was in mid-February.

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        This website is intended for persons resident in Australia. State Street Global Advisors, Australia Services Limited ABN 16 108 671 441, AFSL Number 274900 ("SSGA, ASL") is the product issuer. State Street Global Advisors, Australia, Limited (AFSL Number 238276, ABN 42 003 914 225) (“SSGA Australia”) is the Investment Manager. The material on this website is general information only and does not take into account your individual objectives, financial situation or needs.

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