Navigating Volatility: Earnings Resilience Supports Cautious Optimism
This Q2 2025 Market Outlook, led by CIO Vincenzo Vedda and the DWS Investment team, provides a data-driven perspective on global asset performance amid geopolitical flux and monetary uncertainty.
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Equities remain attractive as corporate earnings are expected to grow, with the S&P 500 benefiting from AI-driven momentum and improved shock resilience.
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Bonds offer value, supported by high yields and expectations that the Fed will intervene if long-term U.S. yields spike; global FX dynamics also enhance dollar-based returns.
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Growth slows, with U.S. GDP forecast at 1.2% for 2025, but select regions like Germany show signs of recovery.
Access the full report for detailed scenario analysis and cross-asset positioning strategies tailored to today’s evolving macro landscape.
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