Asian stock markets face mixed prospects in 2025 amid geopolitical shifts, including Trump’s second term as U.S. president. Singapore’s economy, supported by strong banking sector fundamentals, may navigate trade uncertainties with fiscal resilience. Malaysia benefits from rising FDI and wage growth, ensuring market stability. China aims for economic stabilization, not acceleration, while Korea’s undervalued export sectors hold rebound potential. India’s domestic market shields it from trade risks, unlike Vietnam’s trade-dependent economy. Both countries remain key players in global manufacturing diversification.
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