Invesco’s 2025 Investment Outlook highlights potential global growth scenarios. A downside risk involves policy missteps leading to insufficient growth, prompting central banks to implement rate cuts. Conversely, an upside scenario could see stronger-than-expected growth, aided by falling inflation and rate cuts, fostering a “Goldilocks” environment. The report anticipates the U.S. economy to grow steadily, while Canada may also rebound. However, the Eurozone faces structural challenges. The UK shows resilience, and Japan is expected to reaccelerate. Emerging markets, especially India, present opportunities. The outlook favors risky assets and suggests a cautious approach to high valuations across markets.