The market panicked because Trump and Musk had an argument, but their quarrel did not change the fundamentals, so the market will subsequently correct this excessive panic behavior, and I estimate it won't be long before they reconcile.
So the market is often like this; no one can predict short-term trends. Last night, the call between the leaders was originally positive news, but unexpectedly, they got into a fight in the middle of the night. All we can do is stay away from contracts and leverage.
Do you remember the strategy I mentioned? Buy more as prices drop; June might be the last opportunity to buy at low prices. After June, the market will gradually recover and then enter a crazy bull mode because all the good news is in the second half of the year.