Back to the blog

Moody’s key sector outlooks for 2025

As we dive into 2025, make sure you're armed with critical information about the credit markets for the months ahead. Here is a review of critical sector insights to help you manage risks and identify opportunities facing the new year. 

Moody's 2025 outlooks

 

  • Global asset management: Asset management investors will likely take on more risk and increase investment flows in 2025, a sign of loosening financial conditions and less election uncertainty. 
    Read the global asset management outlook »
  • Global banking: Stabilization of economic growth, coupled with monetary easing, support the operating environment for banks, ease asset risks for them and help their deposit growth recover. 
    Read the global banking outlook »
  • North American corporates: Modest but steady corporate profits and purposeful consumer spending will drive stable conditions in most industries in 2025. But the familiar list of geopolitical flashpoints keeps the mood cautious. 
    Read the global North American corporates outlook »
  • Global structured finance: Both consumer and corporate structured finance obligors will benefit from falling interest rates and moderate economic growth, although high costs will keep straining some borrowers’ finances.
    Read the global structured finance outlook »
Keep updated with Moody's 2025 Outlooks campaign and learn more about what's in store for market participants for the months ahead with quick and easy access to all our forward-looking insights at www.moodys.com/outlooks. And remember, we’re constantly updating our outlooks page, so bookmark it and visit often to make sure you always get the latest in global, sector and regional forecasts for 2025.