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Central Banks Diverge in Policy Paths
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Global central banks diverge in policy paths, with the Fed indicating a potential rate cut, the ECB focusing on ending pandemic-era stimulus, and the BOE remaining more hawkish. Fed's Bostic suggests two rate cuts and a soft landing for the economy in 2024.
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How might the divergent policies of global central banks affect economic growth and inflation rates in the long term?
How might the divergent policy paths of global central banks impact global financial markets and investor sentiment?
What factors could influence the potential rate cuts and economic conditions foreseen by Fed's Bostic?
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