
About this episode
Topic: U.S.–China Trade Deficit and Global Trade Wars
- Trump’s Position:
- The U.S. has a massive trade deficit with China, allegedly up to $1 trillion.
- Trump emphasizes that China must resolve its trade surplus before a deal can be made.
- The U.S. has imposed broad tariffs, not just on China, but on many countries—except Russia.
- The goal is to re-industrialize America and protect national security through domestic manufacturing.
- Expert Opinions:
- Commodore Steve Jeremy notes the trade war's intent may be valid—reviving American industry—but questions whether tariffs are the right tool.
- The global economy is already fragile, possibly near a deep recession; trade wars could worsen this.
- He points to high national debts, reliance on foreign manufacturing, and vulnerabilities in energy markets as key concerns.
- Historical and Structural Issues:
- The trade imbalance has roots in the 1980s economic policy shifts, with Western countries outsourcing production for cost savings.
- Cheap shipping (fueled by cheap oil) made globalization viable, but we may now be hitting peak oil, changing that equation.
- Risks of Escalation:
- China is retaliating, e.g., with restrictions on rare earth exports, critical for U.S. tech and defense.
- Tit-for-tat tariffs could escalate quickly—Trump threatens a 50% tariff increase if China doesn’t back down.
- There's concern that this approach is not win-win but zero-sum, making cooperation unlikely.
- Strategic Consequences:
- Actions may push China, Russia, Iran, and others closer together, economically and geopolitically.
- There’s growing talk of de-dollarization—nations distancing themselves from U.S. financial systems and the dollar.
- Final Takeaway:
- While re-industrialization and protecting national interests are seen as valid objectives, the use of trade wars and tariffs may be economically risky, politically isolating, and unlikely to succeed without deeper structural changes.
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