Decoding the Rebound: Capitulation, Tariffs, and the Search for a True Bottom

2 views Apr 11, 2025

The S&P 500 just staged a historic rebound after widespread capitulation, but does that mean the correction is over? The Market Tunnel cuts through the noise to explain why massive rallies can be deceiving in bear markets and why the next pullback is the real test. We analyze the crucial difference between a low point and a true bottoming process. Plus, get the latest breakdown on the tariff war: Trump's 90-day pause, the potential for a China deal, and what it means for market direction. We also reveal insights from bond market insiders on who's really been selling Treasuries (hint: likely not China). Is the worst truly behind us? What you'll learn: - Why epic rebounds don't automatically signal a market bottom. - The significance of capitulation (and its limits). - Latest updates on US-China tariff negotiations. - Insights into recent bond market volatility & carry trade unwinds. Analysis of whether the absolute market low is likely in. Watch now for essential context on this volatile market! Like this video if you gained clarity, comment with your view on the market bottom, and Subscribe to The Market Tunnel for vital weekly analysis on economics, geopolitics, and trading! #MarketRebound #StockMarket #SP500 #MarketBottom #Capitulation #BearMarketRally #TariffWar #Trump #China #USEconomy #Investing #Trading #Volatility #BondMarket #CarryTrade #MarketSentiment #Geopolitics #Economics #TheMarketTunnel #MarketAnalysis #Finance