The recent #MarketPullBack has sparked concern among investors as inflation remains stubborn, economic growth slows, and uncertainty rises across global markets. Major indices have retreated from recent highs, reflecting nervous sentiment and reduced risk appetite. Analysts are drawing comparisons to past corrections, suggesting we may be in for a period of increased volatility. While some fear further downside, others view this as a healthy reset and a potential buying opportunity for long-term investors. Defensive sectors like consume staples and healthcare may offer more stability during this time. Staying diversified and focused on fundamentals is key.