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Bank of America Warns: Stock Market Bubble Risks Rise

7/25/2025

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Story summary
  • Bank of America strategists caution about increasing stock market bubble risks from loose monetary policies and relaxed regulations.
  • Global policy rates have dropped from 4.8% to 4.4% in the past year.
  • Central banks in the US, UK, Europe, and China have lowered borrowing costs.
  • Projections indicate rates may further decrease to 3.9% within the next year.