In a new report, JPMorgan analyst Marko Kolanovic weighed in on the current environment for equities, gold and oil, and discussed the options that central banks have moving forward.
Kolanovic sees sentiment deterioration and fundamental selling from hedge funds, pensions, wealth funds and retail as the biggest near-term risks to the S&P 500. He sees elevated volatility, deleveraging, rotation out of momentum stocks and weak market sentiment as headwinds as well.
While the SPDR S&P 500 ETF Trust (NYSE: SPY) ...
/www.benzinga.com/analyst-ratings/analyst-color/16/02/6256915/jpmorgans-kolanovic-on-stocks-gold-and-advice-for-the-fe alt=JPMorgan's Kolanovic On Stocks, Gold And Advice For The Fed>Full story available on Benzinga.com
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