HSBC: Market Rotation Fears Overblown, Risk-Off Environment Unlikely
ByAinvest
Tuesday, Feb 17, 2026 12:48 pm ET1min read
HSBC--
HSBC's Chief Multi-Asset Strategist Max Kettner believes fears of a market rotation into a broader "risk-off" environment are overdone. Despite notable pullbacks in certain sectors, the S&P 500 remains resilient, with Kettner attributing this to strong corporate earnings and supportive monetary policy. He expects the market to continue to recover from recent volatility.

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