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Five‐Year Perspective 2026 | U.S. Dollar

2026

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This report provides a five-year outlook on U.S. dollar capital market assumptions, offering insights for investment professionals to inform their decision-making.

* Forecasts for U.S. cash yields, 10-year Treasury yields, and investment-grade corporate spreads.
* Analysis of expected returns for various asset classes, including equities, fixed income, and alternatives.
* Discussion of macroeconomic uncertainty and its impact on market expectations.

Tags: Capital Markets, Forecasts, Investments, Economics, T. Rowe Price

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