#MarketPullback Current context: Markets experienced volatility due to changes in U.S. policy, particularly regarding tariffs and actions by the Federal Reserve. For example, concerns about President Trump's tariff policy caused a sharp decline in April 2025: the S&P 500 index fell approximately 16% from its peak on February 19, 2025, approaching bear market territory (a drop of 20%). However, following signals of easing trade tensions between the U.S. and China, a rebound occurred: on May 2, 2025, major U.S. indexes (S&P 500, Nasdaq, Dow) rose by more than 1% thanks to strong U.S. employment data and tariff negotiations.