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The debt crisis is not developing in isolation.
It is being accelerated by global instability.
Conflicts, rivalries, and shifting alliances are no longer external risks – they are embedded drivers of economic stress.
This book is for readers who want to understand how geopolitical tension directly impacts economic stability. It addresses the misconception that global conflict is separate from financial risk.
Readers will gain:
Insight into how war and conflict drive inflation and deficits Understanding of how instability disrupts supply chains and growth Recognition of how governments respond with borrowing Clarity on how risk is repriced globally Awareness of how persistent instability erodes confidenceThe Impact Analysis presents prolonged degradation and escalation scenarios.
Book #9 of The Debt Crisis Problem Series, this volume shows how global instability accelerates domestic vulnerability.
Continue to Book #10 to examine supply chains – where these pressures become operational and unavoidable.
The cost of instability is already being paid.