This Week's Forecasts & TrendsMarket Volatility, A 50-Year ComparisonApril 29, 2025
A comparative analysis of U.S. stock market volatility from 1973 to 2025 reveals distinct patterns and characteristics across different economic regimes. The period surrounding April 2025 witnessed a notable surge in volatility, primarily driven by abrupt shifts in U.S. tariff policy and the subsequent economic uncertainty. This recent episode provides a valuable opportunity to examine market behavior in the context of historical volatility events. Recent Editions |
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