SPX Versus Short-Term Volatility

SP:SPX   S&P 500 Index
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Volatility levels have diminished these past four weeks, but the trend is still materially higher. Investors are growing more aware of the limitations for the complacency / moral hazard run for equity benchmarks and other capital markets that benefit risk trends. The question for me is when the next lasting swell in 'risk' is found. Do we wait for the FOMC next week, something perhaps further out or is the realization of exceptional exposure and limited returns already leaking in?
Nice Correlation!
I like your style of looking for the fundamentals (a catalyst) that can make a technical pattern play out. Your YouTube videos are a nightly watch for me. Thanks John.
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