2015 Cross Market Performance Shows a Distinctive Risk Aversion

SP:SPX   S&P 500 Index
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Here we have global shares, commodities , high yield, emerging market and frontier market measures (biotech is marked invisible) set against the S&P 500             . These are all varying intensity risk benchmarks, and their performance for the past quarter and year has shown a distinctive conformity. Risk aversion is likely to take the torch on major market moves heading into the final months of 2015.
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