Volatility has become the protagonist of the financial markets, marking a stage of great uncertainty and challenges for investors of all levels. Under the hashtag #MarketTurbulence , the sharp movements in stocks, currencies, and cryptocurrencies are reflected, driven by macroeconomic factors, geopolitical tensions, and monetary policy decisions that keep market participants on alert. In this context, risk management takes on a fundamental role, as sudden changes can turn profits into losses in a matter of seconds. Although turbulence generates fear, it also opens up opportunities for those who know how to identify trends and adapt quickly. The key is to maintain discipline, diversify strategies, and understand that volatility, although intense, is a natural part of the economic cycle.