Invesco's latest take: the U.S. economy is definitely cooling down. While growth is decelerating, their view points to a more interesting divergence—European markets could be positioned to outperform in the coming period. This calls attention to the broader macro backdrop affecting risk assets globally, including crypto markets. When traditional finance tilts toward different regional exposure, it often reshuffles where capital flows. Investors tracking economic cycles and asset allocation strategies might find this shift relevant to their portfolio positioning across geographies.

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