#MarketPullback Markets Adjust Amid Trade Tensions and Fed Decision Expectations
In early May 2025, financial markets are showing signs of correction after a recent rise. The main factors influencing the current situation are:
• Trade tensions: Recent statements by former President Donald Trump about imposing 100% tariffs on foreign films have raised concerns among investors and led to a 0.65% drop in Dow Jones futures. 
• Expectations for Fed decisions: The upcoming Federal Reserve meeting on May 6–7 is attracting investors' attention, especially in the context of potential interest rate changes. Despite pressure from Trump, Fed Chair Jerome Powell remains cautious, citing economic uncertainty related to tariffs and immigration policy. 
• Declining oil prices: OPEC+'s decision to increase oil production has resulted in a 4% drop in oil prices, which is also affecting investor sentiment.