"Crushed Volatility Signals Caution for Stocks and Cross-Assets"

TL;DR Summary
Market volatility is decreasing as risk events like inflation data and Nvidia earnings pass without significant impact, and high demand for option selling is pushing volatility even lower this month.
- Options Volatility Is Getting Crushed With Little Relief Ahead Bloomberg
- The VIX Is Trading at Subdued Levels. That Bodes Badly for Stocks. Barron's
- Sinking volatility rings cross-asset complacency warning Reuters
- Time to Reassess Exit, Stop-Loss Points Schaeffers Research
- US Dollar Index Net Long Position At 11-Week High Business Standard
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