Quarterly Economic Report, Q3 2022

  Read the Report

Key takeaways

 
The SVB Asset Management Economic Report is a quarterly review and outlook on economic and market factors that impact global markets and business health.

01

The Federal Reserve continues to tighten monetary policy.

The FOMC raised rates by 75-basis points at the June 2022 FOMC meeting.

02

Global inflation expectations remain high.

The Russia/Ukraine conflict creates inflationary pressures and commodity prices remain elevated.

03

US labor markets remain strong.

There continues to be more jobs available than unemployed Americans.