The bull market is over. After 11 years of impressive and relatively steady gains, last week the S&P 500® slid into bear market territory, marking the end of the glory of the 2010s and the start of a new regime. Volatility is back with a vengeance, and safe haven assets are now the belles of the ball. But what does this mean for markets? Should we panic yet? The short answer is: probably not.
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