High Volatility Market Is Coming Back, Could Lead To 53% Decline: MKMMark Melin
Investing in high volatility market environment: The August 2015 market crash was profound for several reasons, causing Jim Strugger, MKM Partners managing director of derivatives strategies, to conclude “a transition into a high-volatility regime had begun.” Now with numerous volatility events over a short period of time in the rear view mirror, investors should adjust their risk management approach to this new volatility regime. Specifically, Strugger notes:
Since inception of VIX there have been five prior 40-magnitude VIX shocks . . .
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