Viewpoints: Volatility: The new normal

March 12, 2020
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WEEKLY EDITION: March 12, 2020
Volatility: The new normal
Volatility: The new normal
A sharp drop in oil prices on top of the spreading coronavirus is likely to mean more market swings in the weeks ahead.

Reflections on market corrections
What history tells us about pullbacks and rebounds and how to navigate the ripple effects.

Is a less-bumpy stock return possible?
Learn how one Fidelity analyst builds a stock portfolio designed to drop less during falling markets.

Why own high-quality bonds?
They often rise when stocks fall—a reminder that bonds can be a rock in volatile markets.

Guide to diversification
Learn how to build a mix of investments that can weather stock market pullbacks and help you achieve your long-term goals.

Navigate volatile markets
With market volatility rising again, it may be a good time to revisit your investing strategy.
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