Stocks Face Volatility After Fed Decision; September Usually Weak for Market
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This week after September options expiration is typically the worst for the S&P 500, though not guaranteed.
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On Friday, indexes fell sharply on higher volume and negative breadth, pushing below 50-day moving averages.
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Focus this week will be reaction to Fed interest rate decision on Wednesday.
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Economic debate intensifying on whether economy may slow due to rate hikes.
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Trading conditions not good for positions right now, volatility expected, patience advised.