This week, the U.S. stock market was rocked by a storm of turbulence. Aggressive tariff policies, rising geopolitical tensions, and growing investor unease all contributed to the chaos. On April 3, a sharp sell-off sent shockwaves through the market. Major indices plunged, marking one of the most chaotic trading sessions since 2020. Uncertainty dominated the week, leaving investors reeling. Let’s dive into the story behind these dramatic market shifts and explore the key forces driving the volatility.
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