Or maybe you could argue it started with the effectively flat price from August 2021 to April 2021.
Either way what was that like a 40% correction in that timeframe? I said crash because >20% or whatever.
In hindsight what mechanism lead to this or were leading indicators and strongly correlated in time?
Only thing I can see is new tax year and locking in ridiculous gains from the previous year or two, not too dissimilar to where we are today.
Any reputable financial institution pretend to explain what happened here during or after it occurred, the way CNBC usually just rationalized what happened the day after providing some cherry picked data or theories?
I tried searching but can only find articles written on a day to day basis which in summary only stated that “stocks moved”.
I'm tagging as news even though I'm looking for old news.
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