Axonic Capital in S&P Global: Fears of a Market Correction Grows as Stock Climb to New Highs

Jul 19, 2021 | Firm Research

An extremely accommodative monetary policy paired with an optimistic economic outlook has caused the U.S. equity market to experience one of its longest and uninterrupted rallies in history. Despite this, COVID-19 variants, the potential for policy shifts and rising inflation have caused some investors to fear that a market correction is looming. To learn more about these concerns, S&P Global turned to Axonic Capital Director of Research Peter Cecchini for insight.

Click here to read the S&P Global article.

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