How the Nasdaq Rout Differs From the S&P 500 Selloff episode artwork

EPISODE · Jun 9, 2026 · 8 MIN

How the Nasdaq Rout Differs From the S&P 500 Selloff

from The Bear Market Podcast with Fexingo: Surviving Downturns, Buying the Dip, and Long-Term Resilience · host Fexingo

The Nasdaq has dropped 6.6 percent in five days while the S&P 500 is down 3.8 percent — a divergence that tells a specific story about what's driving this selloff. Lucas and Luna break down why the tech-heavy index is getting hit harder, what that says about sector concentration and the Fed's next move, and why the gap between the VIX at 21.57 and the VVIX near 100 signals options market anxiety that most investors are missing. They look at the Russell 2000 holding up relatively well and ask whether this is a healthy rotation or the start of something worse. With the ten-year yield at 4.55 percent and the yield curve steepening, the conversation drills into whether the selloff is about AI valuation reset or genuine macro concern — and what the VIX term structure reveals about where traders think the real risk lies. #Nasdaq #S&P500 #VIX #VVIX #YieldCurve #Selloff #TechStocks #MarketCorrection #Russell2000 #SmallCaps #FederalReserve #AIStocks #OptionsMarket #Volatility #BearMarketPodcast #FexingoBusiness #Finance #BusinessPodcast Keep every episode free: buymeacoffee.com/fexingo

Episode metadata supplied by the publisher feed · Published Jun 9, 2026

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How the Nasdaq Rout Differs From the S&P 500 Selloff

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