The VIX fear index, a key market volatility gauge, has fallen to a one-week low of 15.93, signaling reduced investor anxiety. This drop suggests a temporary easing of market tensions, though broader risks remain.
The VIX fear index, a key market volatility gauge, has fallen to a one-week low of 15.93, signaling reduced investor anxiety. This drop suggests a temporary easing of market tensions, though broader risks remain.