Throughout 2026, the market is expected to enter a period of lower, choppier returns, increased volatility, and fewer easy investment wins, rather than a price explosion or imminent collapse.
"the general consensus seems to be that we're not likely to see one asset class explode in price or an imminent collapse that's about to wipe everybody out. But instead, we're probably entering a time of lower, choppier returns, a little more volatility, and fewer easy wins."