I believe Trump’s main goal is to reduce US debt, and he has executed a precise strategy to achieve it. He allowed a market drop to push the FED to cut rates.
Additionally, he introduced DOGE, another strategic move.
ow I see a market recovery as more likely.
The $S&P 500(.SPX)$ is entering a recovery phase based on the Fibonacci chart, the $Cboe Volatility Index(VIX)$ has collapsed and returned to a contango state, and the Drill Baby Drill movement has increased oil reserves, lowering its price and reducing production and transportation costs.
Finally, no president wants to govern with markets in the red—especially Trump, whose entire brand is built on making America "great again."
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