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Quarterly Pulse - April 2022

Economic Outlook

Clarus Capital Group AG,  Friday, 1st April 2022

The dominating topic in financial news in the end of the first quarter was the Russia-Ukraine conflict and its consequences not only for the countries involved directly, but also for the rest of the world. While financial markets have quickly recovered after the initial sell-off, longer-term economic effects of disruption in international trade and rising commodity prices are likely yet to be seen. One of the immediate concerns for financial markets, that arises from the situation, is rapidly rising commodity prices that are likely to affect global growth.

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