#MarketRebound The financial market has begun to show clear signs of recovery, marking a significant rebound after weeks of uncertainty. Factors such as the stabilization of interest rates, better-than-expected corporate results, and increased investor confidence have contributed to this positive turn. Sectors such as technology, health, and consumer goods have led the gains, reflecting optimism about economic growth. Additionally, the reduction of geopolitical tensions has reinforced the appetite for risk. As stock indices regain ground, analysts recommend maintaining a balanced strategy, combining quality assets with growth opportunities. This rebound not only reflects a technical reaction but also a renewed expectation of economic stability. However, global challenges persist that could generate new fluctuations.