1. EachPod

Macro Market Outlook: Tariffs, Inflation, and Earnings Risks

Author
42 Macro
Published
Tue 25 Mar 2025
Episode Link
https://42macro.com/podcasts-macro-minute?id=f78c84d1ff804ee9ad21368424fecc55&utm_campaign_id=podcast&content=mm_2025-03-25&utm_source=mp3&utm_medium=podcast&utm_campaign=macrominute&utm_id=podcast&utm_term=episode

This episode dives deep into the current macroeconomic landscape, questioning whether consensus earnings estimates are too optimistic amid uncertainty driven by President Trump’s trade moves and tariff threats. The discussion examines how tariff policies—ranging from auto tariffs to secondary tariffs on Venezuelan oil—could ignite economic tensions and intensify risks to S&P 500 growth expectations. With a focus on a defensive portfolio strategy for today's volatile market, the podcast reviews quantitative signals, market regime indicators (notably inflation-driven pressures), and positioning models from multiple market participants. The conversation also touches on potential short-term liquidity impacts from policy adjustments and closes with a client inquiry about whether the market is headed for a sideways “crab” environment or a dramatic pivot in June as liquidity support diminishes.

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