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3 Risks Still Weighing on U.S. Markets

After a volatile start to 2025, U.S. stocks have bounced off their lows—but Bank of America says the rebound may not last.
 
Strategist Michael Hartnett cautions that unless the Fed cuts rates, a U.S.-China trade deal is reached, or consumer spending improves, investors could keep shifting away from U.S. assets.
 
Watch the full breakdown with @TickerTakewithJonErlichman on the Global X YouTube channel.
 
#Markets #Stocks #FederalReserve

Видео 3 Risks Still Weighing on U.S. Markets канала Global X Canada
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