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Tariff Showdown: China and EU vs. U.S., Treasury Yields Spike, Market Volatility 4/9/25

Squawk on the Street

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Tariff Turmoil and Market Uncertainties

This chapter analyzes the impact of escalating U.S.-China tariffs on the stock and bond markets, focusing on corporate earnings forecasts from major companies. It highlights the complexities of inventory management, the potential for short-term sales boosts, and the looming threat of recession amidst trade tensions. Additionally, the discussion covers liquidity issues in the bond market and reflects on the overall economic uncertainty faced by businesses.

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