Kolanovic Says Fade Election Risk, Focus On Fed RiskMark Melin
There has been much concentration over potential market volatility. The causation of the volatility is varied, from systematic imbalances to election risk to bond market shocks. JPMorgan’s Quantitative and Derivatives Strategy Head Marko Kolanovic says don’t worry, be happy. So long as momentum doesn’t reverse trend, the stock market should be good heading into the US election.
Systematic strategies did not fire short stock market bullets
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