JohnKicklighter
Short

Speculators Hesitant to Bid Volatility Products

AMEX:VXX   IPATH S&P 500 VIX SHORT-TERM FUTURES ETN
103 0 5
There was a definite an accelerating shift towards risk aversion this past week with equities , high-yield, carry, commodities and other assets diving. However, there was a notable restrained in volatility measures. Is this indication of another false start in 'risk aversion' or are the speculative dynamics changing?
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