Close Menu
News JournosNews Journos
  • World
  • U.S. News
  • Business
  • Politics
  • Europe News
  • Finance
  • Turkey Reports
  • Money Watch
  • Health
Editors Picks

Trump Claims Big Media Engages in ‘Illegal’ Reporting, Proposes Changes to VOA

March 18, 2025

Trump Administration Unveils Plan to Ban Paper Straws

March 28, 2025

Federal Judge Blocks Funding Cuts to National Science Foundation Under Trump Administration

June 21, 2025

Judge Halts Trump Directive Eliminating Union Rights for Federal Workers

April 25, 2025

Trump Raises Concerns Over Disrespect Toward Zelenskyy, According to White House

March 1, 2025
Facebook X (Twitter) Instagram
Latest Headlines:
  • Trump Designates Saudi Arabia as Major Non-NATO Ally
  • Hyundai AutoEver America Data Breach Exposes Records of 2,000 Employees
  • Heidi Klum and Daughter Leni Dazzle at Women of the Year Awards
  • US Congress Moves to Mandate Release of Epstein Documents
  • India Expands U.S. Energy Trade to Strengthen Economic Ties Amid Tariff Disputes
  • Protests Erupt Over Allegations of Police Abuse
  • Charlotte Bakery Temporarily Closes Amid Immigration Crackdown Following New U.S. Citizenship
  • Experts Warn of ‘Christmas Tree Syndrome’ and Allergies Related to Holiday Decorations
  • Cloudflare Resolves Outages Affecting X and Other Apps
  • Stephen Schwartz Reflects on His Impact in Musical Theater
  • Roblox Implements New Safety Measures to Protect Minors
  • Netanyahu Urges Regional Allies to Support Israel’s Campaign Against Hamas
  • Trump Asserts MBS Was Unaware of Khashoggi’s Murder, Contradicting 2021 Intel Report
  • UK Government Proposes Ban on Above-Face Value Ticket Resales
  • Klarna Reports Q3 Earnings for 2025
  • New Electric SUV Priced from $65,000
  • NYC Mayor-Elect’s Father Plans to Remain Distant from Administration
  • Loose Wire Linked to Dali Ship Collision with Baltimore Bridge, NTSB Reports
  • U.N. Security Council Greenlights U.S.-Brokered Gaza Peace Initiative
  • Flight Cancellation Scam Exploits Fake Text Messages Across Multiple Platforms
Facebook X (Twitter) Instagram
News JournosNews Journos
Subscribe
Tuesday, November 18
  • World
  • U.S. News
  • Business
  • Politics
  • Europe News
  • Finance
  • Turkey Reports
  • Money Watch
  • Health
News JournosNews Journos
You are here: News Journos » Finance » Stocks’ Behavior Following Periods of High Volatility
Stocks' Behavior Following Periods of High Volatility

Stocks’ Behavior Following Periods of High Volatility

News EditorBy News EditorMay 5, 2025 Finance 5 Mins Read

Periods of extreme volatility in the stock market can cause distress for investors; however, historical data suggest that such times often lead to favorable stock returns. Market analysts recommend that investors resist the impulse to sell during these turbulent stretches and consider buying more stocks. The VIX index, known as the “fear gauge,” serves as an indicator for expected market volatility, and recent analysis shows that when the VIX spikes significantly, stocks typically recover sharply within a year.

Article Subheadings
1) Historical Context of Stock Market Volatility
2) Insights from Market Analysts
3) Recent Market Events and Reactions
4) The Future Outlook for Investors
5) Perspective on Risk and Opportunity

Historical Context of Stock Market Volatility

The history of stock market volatility shows clear patterns that can guide investors. Research indicates that significant fluctuations, such as those measured by the VIX index, often precede periods of substantial recovery. The VIX measures market expectations of volatility in the S&P 500 index. When the VIX soars to levels above 40, indicating considerable uncertainty, historical trends reveal that stocks have typically rebounded sharply. The average recovery in such scenarios has seen the S&P 500 rise by 30% within a year following these periods. This pattern holds weight from an extensive analysis conducted by Wells Fargo Investment Institute, which reviewed the market from January 1990 to April 2025.

Insights from Market Analysts

Market analysts emphasize the importance of not reacting impulsively to market volatility. According to Edward Lee, an investment strategy analyst at Wells Fargo, “Concern is normal, but history has taught us that periods of higher volatility have historically led to higher returns.” Such volatility can be seen as a “potential opportunity” for investors. When the market experiences a downturn, fears of substantial losses motivate investors to sell, often resulting in missed opportunities for profit when the market stabilizes. Lee attributes the success of investing during these periods to the historical tendency for volatility to coincide with periods of high drawdowns and investor panic.

Recent Market Events and Reactions

The stock market recently experienced a significant spike in volatility following unexpected tariff announcements by former President Donald Trump. In early April, the S&P 500 index faced a steep sell-off, declining almost 11% in just two days, which triggered the VIX to peak at approximately 53, placing it among the top 1% of historical closes for the index. Market reactions were characterized by a combination of fear and uncertainty, which are characteristic of such volatility spikes. Analysts suggest that such rapid declines may set the stage for subsequent “relief rallies,” where investor sentiment shifts as concerns subside and stock prices recover shortly after news breaks. For instance, historical data indicates that around half of the S&P 500’s major sell-offs have been followed by swift rebounding in the weeks after.” Additionally, approximately three instances ended on the same day as the VIX’s peak, underscoring the potential for rapid recovery.

The Future Outlook for Investors

Looking ahead, analysts advise a cautious but proactive approach for long-term investors. Callie Cox, chief market strategist at Ritholtz Wealth Management, indicates that long-term investors should consider buying during periods of high volatility. However, she cautions that while historical patterns may suggest potential for recovery, investors should not assume they have reached the bottom of the sell-off. The recent unpredictability in trade policies has made it difficult for many investors to identify a stable “center of gravity” in the market. Cox suggests that being prepared for continued uncertainty in the coming months is crucial.

Perspective on Risk and Opportunity

Investors must balance the perceived risks against the opportunities that arise during volatile times. As analysts reiterate, while the urge to sell during downturns can be strong, long-term gains may be forfeited by such hasty decisions. Lee’s research showcases that the chances of experiencing positive stock returns over a 12-month period increase dramatically during high-volatility phases. This is attributed to the fact that the prevalent investor panic often leads to attractive entry points for new investments, which can yield substantial rewards once market conditions stabilize. The role of education and understanding in navigating market swings is emphasized, enabling investors to make well-informed decisions rather than reactive ones.

No. Key Points
1 Periods of extreme market volatility often lead to substantial future gains for investors who remain calm.
2 The VIX index is a reliable indicator for measuring market fear and potential volatility ahead.
3 Historical data suggests that the S&P 500 typically recovers strongly after periods of significant volatility.
4 Market dips initiated by political news, such as tariffs, can set up future buying opportunities.
5 Investors are encouraged to weigh risks carefully against potential opportunities when volatility spikes.

Summary

The dynamics of stock market volatility present both challenges and opportunities for investors. Understanding historical trends and incorporating strategic approaches based on past performance can enhance decision-making processes during market turbulence. Analysts advocate for a thoughtful approach, urging investors to consider potential rebounds following downturns rather than acting impulsively during times of uncertainty.

Frequently Asked Questions

Question: What does the VIX index represent?

The VIX index, often dubbed the “fear gauge,” measures market expectations of future volatility based on the option prices of the S&P 500 index.

Question: Why is volatility sometimes seen as an opportunity?

Periods of volatility can create favorable buying conditions as prices often rebound strongly after significant declines, providing potential for investors to buy at lower prices.

Question: How should long-term investors react to market declines?

Long-term investors are advised to resist the temptation to sell during market declines and consider using these times to acquire more stocks, as historical data suggests recovery follows volatility.

behavior Bonds Budgeting Credit Scores Cryptocurrency Debt Management Economic Policy Financial Literacy Financial Markets Financial Planning Forex Trading high Investing Mutual Funds Periods Personal Finance Portfolio Management Real Estate Investing Retirement Planning Savings Stock Market Stocks Tax Strategies Volatility Wealth Management
Share. Facebook Twitter Pinterest LinkedIn Email Reddit WhatsApp Copy Link Bluesky
News Editor
  • Website

As the News Editor at News Journos, I am dedicated to curating and delivering the latest and most impactful stories across business, finance, politics, technology, and global affairs. With a commitment to journalistic integrity, we provide breaking news, in-depth analysis, and expert insights to keep our readers informed in an ever-changing world. News Journos is your go-to independent news source, ensuring fast, accurate, and reliable reporting on the topics that matter most.

Keep Reading

Finance

Klarna Reports Q3 Earnings for 2025

6 Mins Read
Finance

Fed Governor Waller Advocates December Rate Cut Amid Weakening Labor Market

5 Mins Read
Finance

New York Fed Discusses Key Lending Facility with Wall Street Firms

6 Mins Read
Finance

ETF Experts Highlight AI and Electric Solutions for Underperforming Infrastructure

6 Mins Read
Finance

Berkshire Hathaway Acquires New Stake in Alphabet

4 Mins Read
Finance

Markets Adjust Expectations for December Rate Cut Amid Fed Uncertainty

7 Mins Read
Journalism Under Siege
Editors Picks

Trump Considers Pardons for Whitmer Kidnap Plot Defendants

May 28, 2025

Trump Praises “Very Fair” Trade Deal with Japan in Meeting with New Prime Minister

October 27, 2025

Four Partners Depart Law Firm After Trump Deal, Including Democratic Lawyer

May 23, 2025

Musk’s DOGE Teams Withdraw Key Funding for U.S. Libraries, Officials Report

April 4, 2025

Trump Signs Executive Order Reducing Funding for PBS and NPR

May 1, 2025

Subscribe to News

Get the latest sports news from NewsSite about world, sports and politics.

Facebook X (Twitter) Pinterest Vimeo WhatsApp TikTok Instagram

News

  • World
  • U.S. News
  • Business
  • Politics
  • Europe News
  • Finance
  • Money Watch

Journos

  • Top Stories
  • Turkey Reports
  • Health
  • Tech
  • Sports
  • Entertainment

COMPANY

  • About Us
  • Get In Touch
  • Our Authors
  • Privacy Policy
  • Terms and Conditions
  • Accessibility

Subscribe to Updates

Get the latest creative news from FooBar about art, design and business.

© 2025 The News Journos. Designed by The News Journos.

Type above and press Enter to search. Press Esc to cancel.

Ad Blocker Enabled!
Ad Blocker Enabled!
Our website is made possible by displaying online advertisements to our visitors. Please support us by disabling your Ad Blocker.
Go to mobile version