
Global Investors Ditch U.S. Markets Over Trade & Debt Risks ๐๐
Major investors are reducing U.S. exposure amid trade uncertainties and rising debt, shifting focus to Europe and Asia. ๐๐ผ #MarketTrends
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Major investors are reducing U.S. exposure amid trade uncertainties and rising debt, shifting focus to Europe and Asia. ๐๐ผ #MarketTrends
Trump’s first 100 days bring economic highs and lows. “America First” policies stir markets. Is growth at risk? ๐๐ #USEconomy
Trump’s new 10% tariffs and higher rates on some nations spark global trade fears, market drops, and international pushback. ๐โ๏ธ
US stocks fall as investors worry over new tariffs. Dow, S&P 500, and Nasdaq slip amid trade tensions with Canada, Mexico, and China.
The Federal Reserve cuts interest rates by 0.5% as inflation eases. Experts emphasize sustained action to stabilize markets. ๐๐ผ