Friday, November 22, 2024

Two Years of +20% Gains for the S&P 500: What's Next? │ Michael Hartnett

Michael Hartnett, Chief Investment Strategist at Bank of America, notes that the S&P 500 is on track for a +20% return in two consecutive years. This has occurred only four times in the past 150 years: 1927/28, 1935/36, 1954/55, and 1995/96. 
 

Historical analysis of returns in the following two years reveals two key insights:
  1. The S&P 500 is likely to experience another significant double-digit move in 2025.
  2. Falling bond yields may serve as the "secret sauce" that helps the S&P 500 avoid the substantial reversals seen in 1929/30, 1937/38, and 1956/57, potentially catalyzing further significant equity gains, similar to what occurred in 1997/98.
 
 

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