The world’s equity markets are radiating an eerie brilliance.

 

Investor sentiment has reached a fever pitch—what can only be described as “Hyper-Bull”—and the voices of pessimism have been effectively silenced.

 

From my vantage point in Singapore, managing an investment fund’s portfolio and engaging with the markets daily, I have begun to feel a distinct sense of cognitive dissonance.

 

 

What lies ahead may not be a mere “correction,” but a fundamental “reset.”

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