The market has really been bad these days.

BTC dropped from 87K to 78K in one go, a drop of 10%; US stocks also plunged, with the S&P 500 correcting nearly 17%.

The core reason behind this, to put it bluntly, is Trump's wave of "tariff increases", which has directly made the global market tense.

But what I want to say is, this is not the first time we've seen this—

In 2020, the pandemic hit hard, but didn’t it rebound in 2021?

2018 and 2022 were similar; after a correction, there is often a recovery.

So my current strategy is: no selling, and not in a rush to add positions.

Just wait until the sentiment clears up a bit and see if there are good opportunities.

Conservative friends might want to take a look at gold, which has been performing quite steadily lately and really serves as a safe haven.

If you are also one of those people who have been going crazy watching the pre-market these days, let’s chat in the comments.

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