Reported about 12 hours ago
As 2025 unfolds, investors face market challenges stemming from uncertain political policies and unexpected earnings, while sector rotations create volatility in the options market. RBC's equity derivatives strategist, Amy Wu Silverman, highlights that despite the Volatility Index remaining below 20, significant market dispersion indicates stark contrasts between sector performances. This scenario emphasizes the importance of stock picking and sector selection in today's less correlated macro environment.
Source: YAHOO