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Trade wars and their consequences: Investors are sounding the alarm


Február, 19 2025
watermark Economic news

The trade war is once again causing the greatest concern among investors, according to a February survey conducted by Bank of America among portfolio managers. As part of the study, 205 representatives of funds controlling assets totaling $485 billion were interviewed. 


According to the results, 39% of respondents consider the global trade war to be a key threat to the global economy in the coming year. This indicator increased by 11 percentage points in a month, exceeding December's 37%. The risk of inflation and a Fed rate hike, which was leading in January, now ranks second with a score of 31%.


The changes in investor sentiment are related to Donald Trump's actions aimed at reforming supply chains. Since February 1, duties have been imposed on goods from Mexico (25%), Canada (25%) and China (10%). At the same time, Mexico and Canada achieved a postponement, and China responded in kind by imposing duties on American coal, oil, LNG, agricultural machinery and automobiles.


Investors are less likely to actively reduce the Fed rate. In January, 13% of respondents expected three declines, but in February their share fell to 4%. At the same time, forecasts for two rate cuts increased from 39% to 46%.


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Foreign exchange is highly speculative and complex in nature, and may not be suitable for all investors. Forex trading may result in a substantial gain or loss. Therefore, it is not advisable to invest money you cannot afford to lose. Before using the services offered by ForexMart, please acknowledge the risks associated with forex trading. Seek independent financial advice if necessary. Please note that neither past performance nor forecasts are reliable indicators of future results.