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海外市场月报:警惕衰退交易-20250427
德邦证券·2025-04-27 07:31

Market Performance - As of April 25, 2025, global stock markets showed mixed performance, with the Nasdaq slightly up and the DAX index in Germany also experiencing a small increase[3] - The U.S. stock indices displayed divergence, reflecting varying investor sentiment amid economic uncertainties[3] Economic Outlook - The ongoing negotiations between the White House and the Federal Reserve have led to a temporary halt in the sell-off of U.S. dollar assets, improving market sentiment[3] - Despite the easing tensions, concerns remain regarding potential economic downturns, with significant layoffs in government-related sectors expected to impact non-farm payroll data[3] Inflation and Interest Rates - Inflation expectations are rising, influenced by fluctuating energy and food prices, which could lead to further market volatility[3] - The Federal Reserve's stance on interest rate cuts remains uncertain, with internal disagreements potentially affecting market expectations[3] Investment Strategy - In light of anticipated recessionary pressures, the recommendation is to prioritize U.S. Treasury holdings, particularly favoring short-term bonds while being cautious with equities[3] - The strategy suggests waiting for signs of stabilization in the market before making significant equity investments, particularly in sectors benefiting from interest rate cuts[3] Risks - Key risks include unexpected rebounds in overseas inflation, weaker-than-expected global economic conditions, and geopolitical tensions that could exacerbate market volatility[3][43]