www.marketwatch.com
Markets for hard assets, such as commodities and real estate, appear to be entering a sustained boom phase. This potential long-term upswing is driven by a combination of factors, including geopolitical tensions, supply chain constraints, and a global push for infrastructure and energy transition. Investors are increasingly seeking tangible items as a hedge against inflation and currency debasement. As a result, these sectors are attracting significant capital, signaling a shift away from purely digital or speculative investments toward assets with intrinsic physical value and long-term utility.
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