S&P 500 Returns, Volatility and Pullbacks!
👉 chart 1 = elevated volatility (VIX levels above 28) make for higher subsequent returns! More fear = higher compounding opportunity for investors!
👉 chart 2 = average 10.1% declines make for 19.1% subsequent rebounds, while median 7.4% declines, make for 15.9% returns!
P.S. way more via my future two distinct S&P 500 reports and MSCI World report — materially improved in all areas: structure, flow, insights and special metrics you rarely see:
✍️ S&P 500 Report: Valuation, Fundamentals, Special Metrics & Leading Indicators
✍️ S&P 500 Report: Performance, Sentiment, Seasonality, Technical Analysis
✍️ MSCI World Report: The Ins and Outs!
Free to subscribe = free to enjoy!
With respect,
Mav
maverickequityresearch.…