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0.000149877599960086 -0.00041266299188993 -0.000632983063831155 3.33061333244214E-05 -0.00283102133257828 -0.00499591999866776 -0.00239804159936042 -0.00191510266615593
Stock impact report

There are 2 looming risks that could spark a serious correction for the stock market, Moody's chief economist says [Business Insider]

Goldman Sachs Group, Inc. (The) (GS) 
Last goldman sachs group, inc. (the) earnings: 4/15 07:30 am Check Earnings Report
US:NYSE Investor Relations: goldmansachs.com/investor-relations
He said he expected asset prices to trade "sideways" over the near term. Investors hoping for another stellar year for the stock market should stay cautious with risks on the horizon in 2025. US stocks could see a significant correction, thanks to high asset prices and two big risks facing the market in the coming year, according to Mark Zandi, the chief economist of Moody's Analytics. "Asset prices are getting ahead of themselves," Zandi said, speaking to The David Lin Report on Monday. He pointed to measures of lofty valuations, such as historically high stock, crypto, housing, and gold prices. "But I think there is a growing risk — a threat — that these lofty valuations and prices will unravel in a correction and a sustained decline in price, and I do worry about that as kind of a risk scenario," he said. "With each passing day that stock prices continue to rise strongly, or corporate credit spreads in the bond market narrow, the more worried I get about that possibility Show less Read more
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