As markets grapple with continued volatility following recent sell-offs, investors are seeking strategies to navigate the uncertainty. Brian Jacobsen, Chief Economist at Annex Wealth Management, analyzes the factors contributing to the market downturn, including escalating trade tensions and their impact on investor sentiment. He discusses the potential for a market bottom, noting that indicators such as spikes in the Cboe Volatility Index (VIX) and elevated put-to-call ratios have not yet fully materialized, suggesting that capitulation may still be forthcoming.