The US election has passed without any big surprises, and the enthusiastic reaction in global financial markets has been exactly what any economics textbook would predict if a predictable, conventional centrist replaced an erratic, extremist populist as US president. Beyond investor psychology, there are several fundamental reasons that justify a Biden rally: the near-certainty of further fiscal stimulus in the short term; the high probability of pro-growth Keynesian demand management in the medium term; and the possibility of a global investment boom in new energy and transport technologies in the long term. Yet most investors, economists and political pundits are sceptical about all these
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