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Bank of America: Market chaos will double over the next 3 years — here are some strategies to help investors stay afloat





  • The most popular gauge of stock-market volatility is set to double over the next three years, Bank of America Merrill Lynch strategists forecast.
  • The firm examined the historical relationship between the Cboe’s volatility index (VIX) and the yield curve, which signals more tumultuous times ahead.
  • Bank of America further laid out investing strategies that have historically profited at times when the VIX was rising.

The turmoil in markets is just getting started.

That’s the outlook from strategists at Bank of America Merrill Lynch (BAML), published on Tuesday as all the major US indexes wiped their gains for the year, and the read more >>>

Source:: BusinessInsider.Com

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