
Ignoring Trump's interference? Wall Street institutions maintain a bullish stance: history shows a 60% probability of a rebound in U.S. stocks after turmoil

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Since 1940, in 36 major geopolitical events, U.S. stocks have risen 60% of the time in the following three months, unless geopolitical factors cause a significant spike in oil prices. At the same time, factors such as corporate earnings expectations, continued returns from AI trading, and improvements in market breadth support a bullish outlook. Institutions like JP Morgan and Barclays recommend that investors maintain long positions but hedge against downside risks
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