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Global Financial Stability Report
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Global Financial Stability Report 2025
Global Financial Stability Report
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Global Financial Stability Report 2025
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International Monetary Fund (IMF)
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Global Financial Stability Report 2025
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International Monetary Fund (IMF) |Apr. 22, 2025

This report published by the International Monetary Fund (IMF) in April 2025 warns that global financial stability risks have surged amid tighter financial conditions, geopolitical tensions, and inflated asset prices. It highlights three key vulnerabilities: overvalued markets, stress among highly leveraged non-bank financial institutions, and debt risks in heavily indebted countries. With a 5% chance that global growth could fall below 0.4%, the IMF calls for stronger oversight, full Basel III implementation, and enhanced global cooperation.

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