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Anticipating Q4-ia

Released on Wednesday, October 4, 2023MARKETS
The S&P 500 fell into Pullback mode on September 21, declining by more than 5% since the July 31 post-bear high. Investors now wonder if they should bail out of stocks for fear of further declines. Even though additional near-term weakness may be in order, history suggests, but does not guarantee, that it would be wiser to prepare for a recovery than retreat. Come hear Sam Stovall, CFRAs Chief Investment Strategist, put todays market backdrop into historical context by discussing how far the S&P 500 may fall and where investment opportunities await.


Sam Stovall
CFRA Research, Chief Investment Strategist

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