The stock market has a $163 billion trapdoor, and Bank of America wants everyone to know exactly where it is. According to BofA’s latest analysis, systematic trading strategies, the algorithmic machines that include commodity trading advisers (CTAs), volatility-control funds, and risk-parity strategies, have roughly $9 billion left in buying capacity during bullish scenarios. If the market turns negative, those same strategies could be forced to offload up to $163 billion in equities. That’s an 18-to-1 sell-to-buy ratio. The mechanics of a loaded spring Deutsche Bank data shows volatility-control equity allocations sitting at the 100th relative percentile. In practical terms, these funds have pushed their stock market exposure to the absolute ceiling. BofA strategist Michael Hartnett’s proprietary Bull & Bear Indicator has been flashing a sell signal since May 2026 and hit a reading of 9.7 in early August. That’s the highest level since 2021. Corporate buybacks are entering their seasonal blackout period. Companies typically halt repurchase programs in the weeks before reporting earnings, and September sits squarely in that dead zone. Why the asymmetry is so dangerous The 18-to...
Bank of America flags $163B risk looming over stocks
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