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EPISODE · Sep 23, 2025 · 9 MIN

Porsche Delays and the EV Market Shift

from Breaking News To Trading Moves

Porsche delays EV launches and cuts 2025 margin outlook; ripple effects for U.S.-listed stocksWhy it matters: Reuters reports Porsche is dialing back EV rollouts and trimming its 2025 margin target to as low as 2% amid softer demand, China weakness, and cost hits—signaling broader pressure on premium EV timelines. WINNERS ICE/Hybrid-Focused Automakers Reason: EV fatigue extends the cash-cow runway for profitable ICE trucks/SUVs and near-term hybrids, easing price wars and protecting margins. Ford ($F) — Benefits from strong pickup/SUV mix and growing hybrid penetration in F-150/Maverick, with less urgency to discount against luxury EV entrants. General Motors ($GM) — Higher-margin full-size trucks/SUVs stay in favor as premium EV competition cools, buying time for a measured EV/hybrid cadence.Oil & Gas Producers Reason: Slower EV adoption lengthens the demand tail for gasoline/diesel, supporting upstream cash flows. Exxon Mobil ($XOM) — Durable liquids demand and integrated model benefit if ICE usage remains elevated longer than expected.LOSERSEV Pure-Plays Reason: Negative sentiment from a premium brand’s EV delay can spill over to order books, pricing power, and funding costs for pure-EV names. Rivian ($RIVN) — Premium exposure and ongoing scale-up face tougher demand optics and potential ASP pressure. Lucid ($LCID) — Luxury EV softness and higher rates keep the path to scaled profitability steeper.Battery Materials (Lithium) Reason: A slower EV unit ramp weighs on near-term lithium demand growth expectations and pricing momentum. Albemarle ($ALB) — Sensitive to lithium price expectations tied to EV adoption curves.

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