#MarketTurbulence 🌪📉

Markets aren’t just moving — they’re shaking.

Global equities, crypto, and commodities are showing heightened volatility as investors react to a mix of economic uncertainty, shifting interest rate expectations, and geopolitical tensions.

🔍 What’s driving it?

Inflation data coming in hotter/colder than expected

Central bank policy signals

Sudden capital flow shifts between risk-on and risk-off assets

Unexpected geopolitical headlines

💡 How to navigate:

Tighten risk management (smaller positions, defined stop-loss)

Avoid overleveraging in choppy conditions

Watch correlations between assets

Keep an eye on liquidity pockets and key support/resistance zones

📊 In turbulence, discipline beats prediction.