A market correction could be lurking just around the corner. Analysts are flagging the possibility of a 10% to 15% pullback in equities over the coming months. What's driving this bearish outlook? Rising economic uncertainties, inflation concerns, and shifting central bank policies are putting pressure on valuations across sectors. For investors holding diversified portfolios—especially those exposed to both traditional stocks and digital assets—this kind of volatility is worth keeping on the radar. History shows that stock market downturns often cascade into crypto markets as well, making it crucial to understand these macroeconomic signals and adjust positions accordingly.

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