#MarketRebound A "market rebound" refers to a recovery in stock prices following a period of decline, often driven by shifts in investor sentiment, policy changes, or economic indicators. As of April 23, 2025, global markets are experiencing a notable rebound, influenced by recent political and economic developments.

📈 Key Drivers of the Current Market Rebound

1. U.S. Policy Shifts

President Donald Trump recently alleviated investor concerns by stating he has no intention of dismissing Federal Reserve Chair Jerome Powell before his term ends in 2026. This assurance reinforced confidence in the Fed's independence. Additionally, Trump's indication of potentially lowering the 145% tariffs on Chinese imports signaled a de-escalation in trade tensions. These announcements led to significant market gains:

The Dow Jones Industrial Average surged