#MarketPullback Global financial markets are experiencing a pullback as investors reassess risk amid renewed concerns over interest rates and inflation. The U.S. Federal Reserve's continued hawkish stance, combined with weaker-than-expected corporate earnings and geopolitical tensions, has led to declines in equities, crypto, and commodities. Tech stocks and risk-on assets have been particularly affected. Analysts suggest this could be a short-term correction rather than a long-term downturn. Investors are advised to focus on fundamentals and diversify their portfolios.