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In early April 2025, global financial markets experienced significant turmoil following U.S. President Donald Trump's unexpected announcement of new protectionist tariffs. This policy shift led to widespread market volatility, with equity markets across Asia, Europe, and the U.S. suffering substantial declines. citeturn0news12

The Cboe Volatility Index (VIX), often referred to as the "fear gauge," spiked to levels not seen since the COVID-19 pandemic. On April 2, 2025, the VIX surged above 65, reflecting heightened investor anxiety amid the rapidly changing trade policies. citeturn0news13

However, midweek, President Trump announced a 90-day pause on new tariffs, leading to a temporary stabilization in the markets. The S&P 500 rebounded, surging 9.5% in one day—the largest single-day gain since 2008. citeturn0news15 Despite this brief relief, existing tariffs remained in place, and investor skepticism about the U.S. economic direction persisted. citeturn0news12

This episode underscores the profound impact of policy announcements on market stability and highlights the challenges investors face amid such uncertainty.

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