中美貿易戰

Only a brutal shock will free markets whipsawed by trade fear

The investment playbook over the past 18 months during the US and China trade dispute has been one of ignoring the short-term noise and waiting for a buying opportunity.

Bouts of financial turmoil that knock down equities and other risk assets have been followed by periods of relative calm that spurred a rebound in sentiment and market performance.

This pattern of escalation and partial retreat between the US and China has now become a lot more challenging as big lines have been crossed in recent days.

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