The stock market faces potential risks for 2025, with six key factors influencing possible downturns, including economic and geopolitical concerns.

The possibility of a stock market downturn in 2025 is tied to six critical risk factors, which could shake investor confidence and destabilise markets. These factors include economic uncertainties, shifting monetary policies, geopolitical tensions, and evolving market dynamics. Stakeholders should remain vigilant to navigate potential challenges effectively.