
ANALYSIS-Six questions facing US stock investors as 2025's second half kicks off

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As the second half of 2025 begins, U.S. stock investors face critical questions regarding tariffs, Fed rate cuts, and corporate earnings. The S&P 500 has risen over 5% this year, but potential tariff impacts and inflation concerns loom. Fed Chair Powell's stance on rate cuts remains uncertain amid pressure from Trump. Technology stocks have regained strength, but market breadth is a concern. Valuations are elevated, with the S&P 500's P/E ratio at 22.2, raising questions about future earnings and the impact of rising Treasury yields. Additionally, doubts about U.S. asset attractiveness may affect equities.
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