Financial markets are currently experiencing high volatility, fueled by macroeconomic uncertainties and speculative movements in certain cryptocurrencies. Investors are closely monitoring fluctuations in interest rates, economic announcements, and geopolitical developments. This instability can create quick trading opportunities but also increase risks. Experienced traders seek to capitalize on this turbulence by using short-term strategies, while others prefer to stay on the sidelines to avoid losses. In such a context, risk management and discipline are essential to protect capital and maintain sustainable performance.

#MarketTurbulence