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The gauge of Eurozone market volatility goes from second-lowest reading on record to highest since 2008 in a matter of days.
Ever since the onset of the financial crisis in 2008, volatility has become a critical aspect for investors to consider in their portfolios.
The EURO STOXX 50® Index turns 20 this week, a period marked by financial crises and recoveries, a deeper economic union of the region, and the transformation of markets.