Focus on greenwashing has heightened regulatory risk for ESG funds, managers
A U.S. recession could drive higher credit losses and hit bank earnings
Both asset values and client flows could be challenged in year ahead
Sector to confront a tough investment climate, growing macro headwinds
Government finances face pressure from rising rates, slowing growth
Sectors such as tech rely on China's economy
Inflation fight is expected to require higher-for-longer interest rates
Likely government gridlock may cheer stocks but raise sovereign credit risks
Demand is sliding in the consumer technology and housing sectors amid inflation, higher interest rates
Economic, energy challenges prompt Moody's downgrade for six banking sector outlooks