Given the recent correction in the S&P 500, JPMorgan's trading desk took a look at a number of questions that have been on their minds (and clients) related to what we could see in the near-term based on how this period lines up with past events and what to expect in the medium-term from a market, factor, and sector standpoint.
1. Why might this look like 4Q18 or 1Q22?
Positioning, Eco data trends, etc. rhyme...