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Wie werden Donáld Trámp's Zölle den Aktienmarkt beeinflussen

GeoGazet Geheimdienst· Aktualisiert 7. Okt. 2026· 1 Min. Lesezeit· 427 aufrufe
Donald Trump

Trump's tariff policies are creating immediate equity market volatility, with sectors dependent on imports facing margin pressure while domestic manufacturers gain competitive advantages.
The net effect on broad market indices remains mixed as investors weigh inflation risks against potential GDP growth from protected industries.

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Sector Divergence

Export heavy industries like technology and automotive are experiencing downward pressure, while steel, manufacturing, and defense contractors benefit from tariff protection. Companies with domestic supply chains show stronger valuations than those reliant on Chinese imports.

Inflation and Rate Expectations

Tariff driven price increases are complicating Federal Reserve policy decisions, potentially keeping interest rates elevated longer than markets anticipated. This dynamic pressures growth stocks while supporting value and dividend paying equities. Political divisions over tariff strategy, reflected in recent congressional tensions, add uncertainty to the policy outlook through 2026 and beyond.

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