SP500 VS VIX - is increasing negative correlation - bullish move from volatility perspective BUT since volatility is so low i would like to see higher volume/ interest? divergence between volatility and volume = bearish
people SHOULD be jumping on the cheap vol and we see higher volume? instead, volume vs volatility relationship breaking down? and low volatility isnt encouraging people to enter
answer: the market doesnt believe in this rally, it is fake/ low liquidity driven
My below article discusses reasons WHY we see low volume/ interest - Risk off assets are STILL performing well??
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