Wall Street: Prepare for Volatility Despite Calm 2025 Outlook

16 December 2024

Despite expectations of a structurally low volatility environment in 2025, analysts caution investors about the possibility of frequent market disruptions. Factors like uncertain US tariff policies, geopolitical strains, and funding market stress could trigger volatility spikes. While the VIX is projected to remain relatively stable, experts suggest that macroeconomic indicators point to potentially higher volatility levels, especially in Asian markets.

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