Story perspectives
Paul Tudor Jones Warns of Imminent Market Instability
2/4/2025
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Story summary
- Paul Tudor Jones cautions that financial markets face greater instability as Trump begins his second term.
- He observes notable shifts in fixed-income, foreign exchange, and equity markets since 2017.
- Jones points out record Treasury debt and rising foreign ownership of U.S. assets.
- He forecasts a possible 30% stock market correction, stressing the importance of prudent policy management.
- Jones characterizes the economic environment as precarious, particularly following Trump's recent tariff announcements.
