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Finance leaders’ big risks in 2025: Geopolitics, interest rates and market volatility

Finance leaders highlight the big issues to worry about in 2025: Geopolitics, interest rates and market volatility

Finance leaders’ big risks in 2025: Geopolitics, interest rates and market volatility

Top executives at some of the biggest financial services firms in the world see significant risks to both the economy and their own businesses going into 2025. Geopolitical tensions remain at the forefront of most people’s minds, according to interviews by Financial News for its Views from the Top look ahead to the new year, but there are plenty of reasons for caution.

Charles Adams

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