In the latest episode of the Market Master Series, Sandeep Tandon discusses on global volatility and market behavior amid geopolitical tensions and policy unpredictability, especially under U.S. President Donald Trump's tariff-driven strategy. He urges investors to treat volatility as an ally rather than a threat, highlighting that Trump’s chaos-driven leadership style often masked strategic intent. He believes India stands to benefit from U.S.-China friction and sees current market corrections as buying opportunities. Sandeep Tandon’s fund strategy focuses on disciplined exposure increases during dips and trimming positions during euphoric rallies, maintaining a constructive long-term outlook. Listen in