03.06.2025

Mixed Developments on the US Stock Markets in June 2025: Impact on European Investors

US Stock Markets in June 2025

Positive Developments

  • Strong Start for Some Sectors: Despite trade conflicts, there were reports of a strong start in June for certain sectors, particularly for US steel stocks and technology companies.
  • BioNTech Shares: Shares of BioNTech surged by 11% after a deal with Bristol-Myers Squibb (BMS), indicating the joint advancement of a cancer drug candidate.

Negative Developments

  • Trade Conflicts Weigh on Markets: The New York stock exchanges began June with losses, burdened by resurgent trade conflicts between the USA, China, and the EU, as well as disappointing economic data from the USA.
  • Tariff Plans and Tensions: The USA plans to increase tariffs on steel and aluminum, escalating tensions in the trade dispute. China threatens countermeasures, raising investor fears.

Outlook for European Investors

These developments are of interest to European investors as they reflect market behavior under global trade conditions. The trade conflicts can impact the global economy and thus also affect European markets. Therefore, it is important to continue monitoring the situation and be aware of potential adjustments in trade policies.

Summary

In summary, it is evident that the US stock markets in June 2025 are characterized by mixed developments. While some sectors like steel and technology are sending positive signals, trade conflicts and weak economic data are weighing on the markets. This dynamic might also be relevant for European investors as it influences global trade flows and market sentiments.