Publisher's Synopsis
Trump Tariffs and the Bond Market: The Shocking 90-Day Pause That Disrupted Global Finance and Rattled U.S. Markets
In April 2025, one announcement changed everything. President Trump's sweeping tariffs didn't just shake diplomatic relationships-they sent shockwaves through the global bond market, triggering one of the most intense financial upheavals in decades. Within days, Treasury yields surged, hedge funds scrambled, and corporate bond markets froze, leaving investors and business leaders grappling with uncertainty.
But what really happened behind closed doors? Why did the White House suddenly pause the tariffs just 90 days later? And what does this dramatic episode mean for the future of America's economic stability?
In Trump Tariffs and the Bond Market, you'll gain unprecedented insights into the critical economic events that unfolded, including:
● The surprising reasons behind the tariff announcement-and why markets reacted so violently.
● How the once-reliable basis trade strategy quickly unraveled, deepening the financial crisis.
● The hidden story behind the 90-day tariff pause, revealing a tactical retreat aimed at averting economic disaster.
● Corporate America's response, from halted investments to the chilling impact on credit markets.
● Long-term implications for U.S. economic policy, trade relationships, and global financial leadership.
This book takes you beyond headlines to explore the profound connections between policy decisions, market reactions, and the real-world consequences affecting everyday lives. Rich with expert analysis and clear explanations, it's essential reading for investors, policymakers, financial professionals, and anyone seeking to understand the new economic realities.
Are you prepared for what comes next? Discover how these critical events have reshaped global finance-and how you can navigate the uncertain path ahead.
The economic landscape has changed forever. Make sure you're ready.