🚨🚨 IS TRUMP STRATEGICALLY CRASHING THE MARKET? 😱‼️

A new theory suggests the Trump administration wants short-term market weakness—why?

🔹 $7 Trillion Debt Refinancing: Lower interest rates are crucial, and a weaker market could push investors into bonds, reducing yields.

🔹 Tariff Uncertainty: New tariffs on China, Mexico, and Canada create instability—forcing investors toward safe-haven assets.

🔹 Political Timing: A temporary downturn now could set the stage for a booming recovery before 2026 elections.

Is this a brilliant strategy or a dangerous gamble? What do you think?