Market observers are flagging some serious headwinds ahead. The combination of escalating debt cycles and mounting geopolitical tensions could create real turbulence in financial markets over the next 12-24 months. We're not just talking about minor corrections here—the structural imbalances in global economies, paired with rising political instability, are shaping up to be genuine stress points. For traders, this means staying sharp on how traditional market dynamics could ripple through crypto assets during uncertain periods.

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