European Equities: Defensive Strategies in a Volatile Trade Environment

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Prepared by Christoph Berger and Thomas Grillenberger from Allianz Global Investors, this Q2 2025 report examines the outlook for European equities amid rising global trade tensions and recession risks.

  • Market Impact: Harsh US tariffs have ended Europe's 2.5-year bull market, triggering a sharp correction and heightened recession fears​.

  • Strategic Outlook: Elevated volatility is expected to persist; defensive, high-quality sectors are favored over tariff-exposed industries​.

  • Valuation Perspective: Lower valuations and negative sentiment may present selective entry points for long-term investors​.

Access the full report to explore detailed sector views, valuation analyses, and investment strategies for navigating Europe's evolving market landscape.

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