Market Factors: Former Fed president sees five reasons the equity rally will end in 2027
- Posted on August 26, 2026
- By The Globe and Mail
- 1 Views
- 1 min read
A former Federal Reserve president identifies five critical market dynamics that could trigger an end to the current equity bull market by 2027. The analysis examines macroeconomic headwinds, valuation concerns, and structural shifts affecting stock performance. Simultaneously, emerging insights on Canadian trade policy reveal unexpected global implications for international commerce and economic cooperation, offering investors a broader perspective on geopolitical risks and market volatility.
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