About the Book
This report delivers a detailed and timely assessment of the economic and geopolitical impact of the April 2025 U.S. tariff measures—one of the most sweeping trade policy actions in modern American history. It revisits the initial forecasts made in April and contrasts them with real-world developments just one month later. Key areas of focus include investment behavior, capital flows, industry-specific disruptions, and shifts in global trade alignments. The analysis incorporates scenario modeling, sentiment-adjusted forecasting, and sector-by-sector reviews of supply chain adaptations. Featuring commentary on geopolitical recalibrations, economic resilience strategies, and the evolving role of bias in trade analysis, this update offers critical insights for economists, trade professionals, policymakers, and investors navigating an increasingly fragmented global market.