Economy
US Fiscal Strain and $40 Trillion Debt Impact Markets

US Fiscal Strain and $40 Trillion Debt Impact Markets

The Times of India1h
THE BRIEF
1

Global markets are facing volatility due to rising US fiscal strain, characterized by a national debt reaching $40 trillion and a $1.8 trillion deficit.

2

Rising Treasury yields have emerged as a primary market risk as government spending increases while receipts continue to weaken.

3

Investors are closely monitoring these fiscal indicators, which are influencing broader economic sentiment and the stability of global financial markets.