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Volatility increases to long-term average

Volatility increases to long-term average

As of friday, 4 Sept., the S&P 500 1-year volatility (blue) was 14.72% and the long-term average was 14.07% (red line).  The 3-year volatility (purple) has not bottomed, yet.  Regardless, it may be time to consider techniques for reducing the volatility inherent to some strategies.