wealthtrend
  • Home
  • Top News
  • Global
    Emerging Markets, Real Risks: Can They Still Deliver Growth in 2025?

    Emerging Markets, Real Risks: Can They Still Deliver Growth in 2025?

    The Rise of Green Bonds: Are They the Future of Sustainable Finance?

    The Rise of Green Bonds: Are They the Future of Sustainable Finance?

    China’s Economic Slowdown: How Will It Affect Global Growth?

    China’s Economic Slowdown: How Will It Affect Global Growth?

    Beyond the Boom: Will Real Estate Still Be a Safe Bet After the Pandemic?

    Beyond the Boom: Will Real Estate Still Be a Safe Bet After the Pandemic?

    Tariff Tantrums and Global Warnings: Is the IMF Right to Sound the Alarm?

    Tariff Tantrums and Global Warnings: Is the IMF Right to Sound the Alarm?

    Can the Dollar Stay Strong Amid Global Shifts?

    Can the Dollar Stay Strong Amid Global Shifts?

  • Asia-Pacific
    China’s Economic Slowdown: How Will It Affect Global Growth?

    China’s Economic Slowdown: How Will It Affect Global Growth?

    Are We Witnessing an Economic Breakup? The Real Cost of U.S.-China Decoupling

    Are We Witnessing an Economic Breakup? The Real Cost of U.S.-China Decoupling

    Key Risks and Opportunities Facing the Asia-Pacific Financial Markets

    Key Risks and Opportunities Facing the Asia-Pacific Financial Markets

    What Economic Signals Are Reflected in the Current Performance of the Asia-Pacific Stock Markets?

    What Economic Signals Are Reflected in the Current Performance of the Asia-Pacific Stock Markets?

    How Changes in Monetary Policy in the Asia-Pacific Region Impact Market Performance

    How Changes in Monetary Policy in the Asia-Pacific Region Impact Market Performance

    What Do the Latest Developments in the Asia-Pacific Financial Markets Mean for Global Investors?

    What Do the Latest Developments in the Asia-Pacific Financial Markets Mean for Global Investors?

  • Europe
    What’s Next for the EU Recovery Fund? Will It Revitalize Europe?

    What’s Next for the EU Recovery Fund? Will It Revitalize Europe?

    Is Europe Ready for the Next Economic Crisis?

    Is Europe Ready for the Next Economic Crisis?

    Is the Eurozone on the Brink of Deflation?

    Is the Eurozone on the Brink of Deflation?

    How Europe’s Debt Issues Affect Investor Confidence and Market Trends

    How Europe’s Debt Issues Affect Investor Confidence and Market Trends

    Can the Pace of Europe’s Economic Recovery Support Stable Growth in Financial Markets?

    Can the Pace of Europe’s Economic Recovery Support Stable Growth in Financial Markets?

    The Long-Term Impact of European Central Bank Policy Adjustments on Financial Markets

    The Long-Term Impact of European Central Bank Policy Adjustments on Financial Markets

  • viewpoint
  • America
  • Europe and America
wealthtrend
  • Home
  • Top News
  • Global
    Emerging Markets, Real Risks: Can They Still Deliver Growth in 2025?

    Emerging Markets, Real Risks: Can They Still Deliver Growth in 2025?

    The Rise of Green Bonds: Are They the Future of Sustainable Finance?

    The Rise of Green Bonds: Are They the Future of Sustainable Finance?

    China’s Economic Slowdown: How Will It Affect Global Growth?

    China’s Economic Slowdown: How Will It Affect Global Growth?

    Beyond the Boom: Will Real Estate Still Be a Safe Bet After the Pandemic?

    Beyond the Boom: Will Real Estate Still Be a Safe Bet After the Pandemic?

    Tariff Tantrums and Global Warnings: Is the IMF Right to Sound the Alarm?

    Tariff Tantrums and Global Warnings: Is the IMF Right to Sound the Alarm?

    Can the Dollar Stay Strong Amid Global Shifts?

    Can the Dollar Stay Strong Amid Global Shifts?

  • Asia-Pacific
    China’s Economic Slowdown: How Will It Affect Global Growth?

    China’s Economic Slowdown: How Will It Affect Global Growth?

    Are We Witnessing an Economic Breakup? The Real Cost of U.S.-China Decoupling

    Are We Witnessing an Economic Breakup? The Real Cost of U.S.-China Decoupling

    Key Risks and Opportunities Facing the Asia-Pacific Financial Markets

    Key Risks and Opportunities Facing the Asia-Pacific Financial Markets

    What Economic Signals Are Reflected in the Current Performance of the Asia-Pacific Stock Markets?

    What Economic Signals Are Reflected in the Current Performance of the Asia-Pacific Stock Markets?

    How Changes in Monetary Policy in the Asia-Pacific Region Impact Market Performance

    How Changes in Monetary Policy in the Asia-Pacific Region Impact Market Performance

    What Do the Latest Developments in the Asia-Pacific Financial Markets Mean for Global Investors?

    What Do the Latest Developments in the Asia-Pacific Financial Markets Mean for Global Investors?

  • Europe
    What’s Next for the EU Recovery Fund? Will It Revitalize Europe?

    What’s Next for the EU Recovery Fund? Will It Revitalize Europe?

    Is Europe Ready for the Next Economic Crisis?

    Is Europe Ready for the Next Economic Crisis?

    Is the Eurozone on the Brink of Deflation?

    Is the Eurozone on the Brink of Deflation?

    How Europe’s Debt Issues Affect Investor Confidence and Market Trends

    How Europe’s Debt Issues Affect Investor Confidence and Market Trends

    Can the Pace of Europe’s Economic Recovery Support Stable Growth in Financial Markets?

    Can the Pace of Europe’s Economic Recovery Support Stable Growth in Financial Markets?

    The Long-Term Impact of European Central Bank Policy Adjustments on Financial Markets

    The Long-Term Impact of European Central Bank Policy Adjustments on Financial Markets

  • viewpoint
  • America
  • Europe and America
wealthtrend
Home Europe and America

The November Nexus: A Pivotal Shift in Election Risks and Market Forecasts

October 31, 2024
in Europe and America, Financial express
The November Nexus: A Pivotal Shift in Election Risks and Market Forecasts

As the leaves turn in anticipation of November’s chill, the United States braces for an election poised to shape the market’s climate. With less than a month until the November 5th election day, the market has begun to price in the risks associated with the outcome. The resurgence of Donald Trump’s lead has injected fresh unpredictability into the race, with CICC suggesting that, overall, the election is likely to buoy U.S. stocks; the dollar may strengthen, gold remains neutral, and interest rates are set to rise, with commodity resources potentially benefiting from Trump’s anticipated stimulus measures.

The Market’s Pulse and Political Prognostications

With only three weeks remaining until the U.S. presidential election, traders have incorporated the prospective risks into their pricing strategies. Brian Garrett, a trader at Goldman Sachs, noted today that the VIX volatility index remains elevated—a rare occurrence when juxtaposed with the S&P 500’s record highs.

A Turn of Tides in the Electoral Race

Amidst this backdrop, the electoral tides have turned. The CICC team, led by Liu Gang, has observed a reversal in fortune; Trump has overtaken the previously surging Harris not only in betting odds but also in six of the seven key swing states, further complicating the electoral calculus.

The Index of Expectations

Goldman Sachs reports that their basket index betting on a Republican victory has soared to new heights, while the index wagering on a Democratic win continues to wane.

The Asset Impact of Election Outcomes

CICC posits that the success of the president in garnering congressional support, particularly from the House of Representatives which steers fiscal policy, will directly impact the feasibility of advancing relevant policies.

Scenarios Unfold

CICC outlines four potential scenarios:

  • A Republican sweep (39%): A scenario akin to Trump’s 2016 victory, favoring the advancement of his policy agenda, particularly tax cuts.
  • A Democratic sweep (18%): A repeat of Obama’s 2008 victory, which would likely ease the implementation of Harris’s fiscal policies.
  • Trump + Democratic House (13%): Similar to the divided Congress post-2018 midterms, suggesting Trump may face challenges in fiscal policy but could pivot to trade policies via executive actions.
  • Harris + Republican House (5%): Echoing the dynamic post-2022 midterms, indicating Harris may struggle with fiscal policy initiatives, potentially continuing Biden-era policies and administrative adjustments.

The Market’s Anticipated Reaction

CICC believes that the direction of asset impact, aside from the inherent differences in Trump and Harris’s policies, will also be influenced by the order in which policies are implemented. The probable direction is as follows: overall positive for U.S. stocks, though tariffs may negatively impact Chinese assets; a stronger dollar, neutral gold, rising interest rates; and commodity resources may benefit from Trump’s stimulus expectations.

Tags: CommoditiesElectionFiscalPolicyMarketsRiskAssessment
ShareTweetShare

Related Posts

The Future of Work: How Will Remote Work Reshape Global Economies?
Financial express

The Future of Work: How Will Remote Work Reshape Global Economies?

April 25, 2025
The Rise of Green Bonds: Are They the Future of Sustainable Finance?
Financial express

The Rise of Green Bonds: Are They the Future of Sustainable Finance?

April 24, 2025
Biden’s Tax Plan: What’s at Stake for American Businesses?
America

Biden’s Tax Plan: What’s at Stake for American Businesses?

April 24, 2025
Can ESG Investments Outperform in the Long Run?
Financial express

Can ESG Investments Outperform in the Long Run?

April 23, 2025
Green Is the New Gold: Why Sustainable Finance Is No Longer Optional
Financial express

Green Is the New Gold: Why Sustainable Finance Is No Longer Optional

April 23, 2025
A World Beyond the Dollar? Why Some Economies Are Rethinking Reserve Currency Loyalty
Europe and America

A World Beyond the Dollar? Why Some Economies Are Rethinking Reserve Currency Loyalty

April 23, 2025
Load More
Leave Comment
  • Bitcoin on a rollercoaster ride The whole network more than 110,000 people exploded warehouse 2.9 billion yuan evaporation in 24 hours! What’s going on?

    Bitcoin on a rollercoaster ride The whole network more than 110,000 people exploded warehouse 2.9 billion yuan evaporation in 24 hours! What’s going on?

    0 shares
    Share 0 Tweet 0
  • There are always unconvinced want to try! The size of Nvidia’s short position is now comparable to Apple and Tesla combined

    0 shares
    Share 0 Tweet 0
  • The probability is about 75%! Will the G7 fall?

    0 shares
    Share 0 Tweet 0
  • A number of data point to the Japanese government intervention in the currency market after the “5 trillion” still depends on the United States

    0 shares
    Share 0 Tweet 0
  • How far can Tech stocks go to split on Fed expectations?

    0 shares
    Share 0 Tweet 0

Hot

The Future of Work: How Will Remote Work Reshape Global Economies?

The Future of Work: How Will Remote Work Reshape Global Economies?

April 25, 2025
What’s Next for the EU Recovery Fund? Will It Revitalize Europe?

What’s Next for the EU Recovery Fund? Will It Revitalize Europe?

April 25, 2025
Is Europe Ready for the Next Economic Crisis?

Is Europe Ready for the Next Economic Crisis?

April 25, 2025
Emerging Markets, Real Risks: Can They Still Deliver Growth in 2025?

Emerging Markets, Real Risks: Can They Still Deliver Growth in 2025?

April 25, 2025
The Rise of Green Bonds: Are They the Future of Sustainable Finance?

The Rise of Green Bonds: Are They the Future of Sustainable Finance?

April 24, 2025
Biden’s Tax Plan: What’s at Stake for American Businesses?

Biden’s Tax Plan: What’s at Stake for American Businesses?

April 24, 2025
China’s Economic Slowdown: How Will It Affect Global Growth?

China’s Economic Slowdown: How Will It Affect Global Growth?

April 24, 2025
Beyond the Boom: Will Real Estate Still Be a Safe Bet After the Pandemic?

Beyond the Boom: Will Real Estate Still Be a Safe Bet After the Pandemic?

April 24, 2025
Bots, Brains, and Billions: How AI Is Quietly Reshaping Wall Street

Bots, Brains, and Billions: How AI Is Quietly Reshaping Wall Street

April 24, 2025
Tariff Tantrums and Global Warnings: Is the IMF Right to Sound the Alarm?

Tariff Tantrums and Global Warnings: Is the IMF Right to Sound the Alarm?

April 24, 2025
The Future of Work: How Will Remote Work Reshape Global Economies?
Financial express

The Future of Work: How Will Remote Work Reshape Global Economies?

April 25, 2025
What’s Next for the EU Recovery Fund? Will It Revitalize Europe?
Europe

What’s Next for the EU Recovery Fund? Will It Revitalize Europe?

April 25, 2025
Is Europe Ready for the Next Economic Crisis?
Europe

Is Europe Ready for the Next Economic Crisis?

April 25, 2025
Emerging Markets, Real Risks: Can They Still Deliver Growth in 2025?
Global

Emerging Markets, Real Risks: Can They Still Deliver Growth in 2025?

April 25, 2025
wealthtrend

WealthTrend, as the leading financial information service platform in the industry, provides comprehensive, timely and accurate financial information services for investors and financial practitioners by virtue of its deep industry background, clear service purpose and unique characteristics.

Copyright © 2025 Contact: [email protected]

No Result
View All Result
  • Home
  • Top News
  • Global
  • Asia-Pacific
  • Europe
  • viewpoint
  • America
  • Europe and America

Copyright © 2025 Contact: [email protected]

Welcome Back!

Login to your account below

Forgotten Password?

Retrieve your password

Please enter your username or email address to reset your password.

Log In