This podcast episode delves into key macro questions that assess the impact of tariffs on the U.S. economy and the resilience of its core fundamentals. The discussion covers a comprehensive macro analysis of the U.S. economy, highlighting factors such as policy uncertainty, slowing growth, and the impending tariff measures against Canada and Mexico. It further outlines a portfolio strategy emphasizing shifts in market dynamics—such as evolving AI capital flows from enablers to adopters, potential benefits of equal-weighted S&P 500 exposure, and the attractiveness of commodities and inflation hedges. Quantitative signals such as TGA depletion, liquidity impacts, and market positioning are also examined. The episode concludes by addressing the current market regime, associated risks and opportunities, and insights from positioning models, including responses to client queries regarding the timing of portfolio adjustments.