Tariff uncertainty weighs on KLCI outlook


MALAYSIAN equities are experiencing volatility in the second half of 2025 (2H25), influenced by global trade tensions and tariff uncertainties. However, analysts maintain a positive outlook.

Despite an anticipated turbulent third quarter (3Q25), most research houses see potential for a recovery in the final stretch of the year, especially if Malaysia can strike a deal with the United States to ease proposed tariffs.

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