US OPEN: Markets Trend Lower on Tariff Tensions

15:10 3 February 2025
  • US and European markets suffer broad declines (-1.5% to -2.5%) as Trump's new tariffs on Canada, Mexico, and China spark fears of a trade war escalation

  • Traditional automakers (GM -6%, Ford -4%) and Tesla (-6%) tumble as US-Canada trade tensions escalate and potential retaliatory tariffs threaten the integrated North American auto market

  • Nvidia (-5%) faces dual headwinds from AI efficiency concerns and potential chip tariffs, dragging down the broader tech sector

  • Companies with significant Mexican exposure see sharp declines, led by Constellation Brands (-4%) and retailers like Lululemon (-3.2%), as new tariffs threaten to disrupt supply chains

  • AbbVie (+2.4%) bucks the negative trend on analyst upgrades, emerging as one of the few bright spots in today's risk-off market

 

US Markets Reel Under Pressure: Major US indices are experiencing sharp declines amid escalating trade tensions, with the US2000 falling -2.36% to 2239.0. The US100 drops -1.96% to 21157.47, while the US500 declines -1.76% to 5957.9, and the US30 slides -1.41% to 44060. The VIX fear gauge has surged +8.97% to 18.83, reflecting heightened market anxiety over the new tariffs. The steep selloff comes as markets digest the Trump administration's implementation of 25% tariffs on Canada and Mexico, and 10% on China, effective Tuesday.

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European Markets Extend Losses: European markets are broadly lower, with automotive and export-sensitive sectors leading the decline. The Polish W20 and Austrian AUT20 are the biggest losers, dropping -2.56% to 2393.6 and -2.54% to 3758 respectively. Major indices including the SPA35 (-1.63% to 12142), DE40 (-1.54% to 21397.2), and EU50 (-1.40% to 5196.6) are all significantly lower. The VSTOXX, Europe's fear gauge, has jumped +6.85% to 17.93, as investors brace for potential retaliatory measures from trading partners, with Canada already announcing plans for tariffs on $106B worth of US goods.

 

S&P 500 Sectors Show Mixed Performance. Source: Bloomberg Financial LP

 

Current volatility observed on Wall Street. Source: xStation 

 

The Nasdaq-100 index, represented by the US100 contract, has broken below the key support level at 21,255, which marks the mid-November high. Bears will aim for a retest of the 100-day SMA, opening the way for a move toward the 61.8% Fibonacci retracement level, which coincides with the lower Bollinger Band. Bulls, on the other hand, will attempt to push the price back above the 38.2% Fibonacci retracement level. The RSI has entered a zone that has historically led to reversals in the index, while the MACD is signaling bearish divergence. Source: xStation

 

Market News:

  • Auto Sector Hit Hard: GM (-6%), Ford (-4%), and Stellantis (-5%) lead auto sector declines as North American supply chains face disruption. S&P Global notes that 22% of US vehicle sales in 2024 came from Canada and Mexico imports. Volkswagen, with 43% of US sales from Mexico, may consider exiting the US market.

  • Nvidia Faces Double Pressure: Nvidia stock falls 5%, extending recent losses from DeepSeek AI efficiency concerns. The semiconductor giant faces additional pressure from potential chip import tariffs after CEO Jensen Huang's White House meeting.

  • Consumer Brands Under Pressure: Constellation Brands (STZ.US) drops 4% as Piper Sandler downgrades the stock, citing Mexican beer import exposure (86% of sales). Lululemon (-3.2%) and Nike (-2.5%) decline on broader trade war concerns.

  • Canada Targets Tesla: Tesla stock retreats 6% after former Canadian finance minister Chrystia Freeland calls for 100% tariffs on Tesla vehicles, specifically targeting Elon Musk's connection to Trump. The EV maker already faces challenges in Europe, with French sales dropping 63% amid political controversies.

  • AbbVie (ABBV.US) Gains on Analyst Optimism: Shares of AbbVie rise 2.4% as multiple analysts express bullish sentiment. Morgan Stanley's Terence Flynn maintains an Overweight rating and raises the price target significantly from $224 to $239, while Raymond James analyst Gary Nachman reiterates an Outperform rating with a more modest price target increase from $218 to $220.

  • Extended Trading Hours: Cboe Global Markets announces plans to expand US equities trading to 24 hours, five days a week on its EDGX Exchange, aiming to accommodate global investors, particularly from Asia Pacific markets.

 

Other news coming from individual S&P 500 index companies. Source: Bloomberg Financial LP

This content has been created by XTB S.A. This service is provided by XTB S.A., with its registered office in Warsaw, at Prosta 67, 00-838 Warsaw, Poland, entered in the register of entrepreneurs of the National Court Register (Krajowy Rejestr Sądowy) conducted by District Court for the Capital City of Warsaw, XII Commercial Division of the National Court Register under KRS number 0000217580, REGON number 015803782 and Tax Identification Number (NIP) 527-24-43-955, with the fully paid up share capital in the amount of PLN 5.869.181,75. XTB S.A. conducts brokerage activities on the basis of the license granted by Polish Securities and Exchange Commission on 8th November 2005 No. DDM-M-4021-57-1/2005 and is supervised by Polish Supervision Authority.

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