The US$ 7 trillion debt of the United States is the reason
why Trump wants the stock market to collapse.
his manual: Break the stocks, inflate the bond market and force cuts in the rates.
Let me explain -
The United States government must refinance
US$ 7 trillion of debt in the next 6 months.
There is no way that TRUMP wants
to pay the current 10-year yields
so that's why he wants the stock market to inflate bond prices.
As bond prices rise, yields
drop and the United States government
is able to refinance its debt at an
affordable rate. Not only that, the lower bond yields will also lead the Fed to make rate cuts, which is optimistic for risk assets.
Don't be swayed by short-term panic and
look at the bigger picture. The bull market
is not over, the mega bomb has yet to arrive.
Ps: this text is not mine :
I am posting it here because I found the reasoning brilliant.