2025 Global Market Forecast – Balancing Risks and Unlocking Investment Opportunities

From tariffs to inflation, explore key market risks and top sectors for 2025. A must-read forecast for long-term investors.

Global Risk Landscape:

• Trump Tariffs: Fueling volatility in global equity markets

• China-EU Relations: Key trade uncertainties as retaliatory measures loom

• Persistent Inflation: Raw material tariffs impacting production costs

Where to Invest in 2025:

• Energy: Oil, renewables, and LNG infrastructure

• Defense & Aerospace: Beneficiaries of global geopolitical tensions

• Consumer Staples & Healthcare: Defensive plays with steady demand

Strategy Tip:

Diversify across sectors and geographies. Incorporate dividend growth and dollar-cost averaging into long-term portfolio plans.