The risk of an economic recession in the US in 2025 increases – What should investors do?
Major banks are raising their warning levels about the risk of an economic recession in the US in 2025:
#JPMorgan raises the probability of recession to 40% due to concerns over the economic policies of the Trump administration.
#GoldManSachs also raises its forecast to 20%, warning that this number could increase if there are no policy adjustments.
#MorganStanley lowers the GDP growth forecast to 1.5% in 2025 and 1.2% in 2026, while warning that inflation may be higher than expected.
However, the likelihood that the US economy will not go into recession is still considered higher, indicating that the overall picture is not entirely negative.
What should investors do?
Protect assets: Consider allocating capital to gold, $BTC , and government bonds – safe-haven assets during periods of instability.
Monitor policies: Decisions by the Trump administration in the coming period will greatly affect the market.
Maintain a flexible mindset: Financial markets may be highly volatile, requiring a long-term investment strategy rather than chasing short-term news.
The market always has opportunities even during tough times – the important thing is whether you know how to seize them or not!