This week’s volatile market moves convey two important lessons: 1. Although risk assets continued to tread water, the sharp rebound in stocks on Wednesday, led by nearly 9% surge in Euro area equities, and the plunge in oil prices suggest much of the downside scenario from the Ukraine conflict has already been priced into markets. 2. A reminder that investors face a significant Cost of Missing Out (the “COMO factor”) on some of the best days in the market if they stay out of it. Catch the conversation with our Chief Investment Officer, Steve Brice together with Abhilash Narayan, Senior Investment Strategist at bit.ly/SCBPodcast-4 Alternatively, read our latest market insights at bit.ly/SCBMYMVOTG
Posted 2 years ago
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