Both the S&P 500 and Nasdaq 100 crashed by 3% on Monday. The fear index, VIX $Cboe Volatility Index(VIX)$ , surged 65% to 38.45 from 23.39. This current VIX level of 38.45 is the highest since 2020. Reasons for the Equity Market Rout Unwinding of yen carry trade due to yen appreciation and interest rate hikes Rising Middle East tensions Recession indicator - Sahm Rule triggered Weakening US labor market Potential US-China tech war Sector rotation triggered by impending rate cuts and Trump’s re-election odds Growth scare due to lower earnings guidance How Low Could the S&P 500 Go? 1) Based on 2022 Correction: The S&P 500 experienced a maximum drawdown of 25.43% in 2022 due to recession fears, geopolitical tensions, and risi
Is it Better to DCA or Invest Heavily During the Drop?
Nasdaq and S&P 500 log worst day since 2022 after Alphabet and Tesla fail to impress Wall Street. ------------ Which is better: DCA through auto invest fuction or invest actively during the drop?
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