The S&P 500 Just Hit Correction Territory. History Says the Stock Market Will Do This Next (Hint: It May Surprise You)

U.S. stocks have fallen sharply in recent weeks as the Trump administration began imposing tariffs on foreign trading partners. Investors unnerved by the potential consequences of the burgeoning trade war have rotated away from domestic equities, particularly those in the consumer discretionary and technology sectors.

As of March 13, the benchmark S&P 500 (^GSPC 2.13%) has fallen over 10% from the record high it reached in February. That means the index has officially entered stock market correction territory. But the drawdown comes with a silver lining for investors: The S&P 500 has historically rebounded quickly.

Here are the important details.

History says the S&P 500 could rebound sharply over the next year

A stock market index enters a correction when it closes at least 10% below its most recent bull-market high. The S&P 500, commonly regarded as the best barometer for the overall U.S. stock market, has suffered nine other corrections (two of which became full-blown bear markets) in the last 15 years.

The chart below lists each day the S&P 500 entered stock market correction territory since 2010. It also shows how the index performed during the next 12 months. Importantly, the S&P 500 generated a positive return eight out of nine times, or 89% of the time.

S&P 500 First Closes in Correction Territory

12-Month Return

May 20, 2010

24%

Aug. 4, 2011

16%

Aug. 24, 2015

15%

Jan. 13, 2016

20%

Feb. 8, 2018

5%

Nov. 23, 2018

18%

Feb. 27, 2020

28%

Feb. 27, 2022

(7%)

Oct. 27, 2023

41%

Average

18%

Data source: YCharts.

As shown above, the S&P 500 in the last 15 years has returned an average of 18% during the year following its first close in correction territory. While not shown in the chart, the S&P 500 has also returned a median of 18% under the same conditions, which means it gained more than 18% half of the time and less than 18% the other half of the time.

The standard disclaimer applies: Past performance is never a guarantee of future results. Nevertheless, the data shown in the chart is encouraging and should give investors confidence. The S&P 500 has almost always generated a positive return in the year following its first close in correction territory, and that return has usually been robust.

Readers should pay particularly close attention to the correction that began in November 2018 because the circumstances were somewhat similar to the current market environment. The U.S. economy had just notched several consecutive quarters of strong growth, but escalating trade tensions with China knocked the stock market into a sharp but brief decline.

However, President Donald Trump has taken a more aggressive stance on international trade during his second term, so the current S&P 500 correction may not fit the historical pattern.

Image source: Getty Images.

The current trade war could drag the U.S. stock market down further

The Trump administration aims to “correct long-standing imbalances in international trade” by imposing tariffs across a broad range of goods from several countries. That list currently includes China, Canada, and Mexico, but the president has also threatened tariffs on imports from the European Union.

While long-term U.S. trade policy remains uncertain, the nonpartisan Tax Foundation estimates tariffs imposed to date will increase the average tax across all U.S. imports by nearly 6 percentage points, from 2.5% in 2024 to 8.4% in 2025. That would be the highest level since 1946.

Comparatively, tariffs imposed during the first Trump administration raised the average tax on U.S. imports by about 2 percentage points. That relatively small bump in the average rate contributed to the 19.8% decline in the S&P 500 observed during the three-month period between September and December 2018.

The good news is that drawdown was short-lived. The S&P 500 had recouped its losses and reached a new high by May 2019. The bad news is the current drawdown could be steeper because the Trump administration has imposed or plans to impose more aggressive tariffs this time around.

Here’s the bottom line: Investors should be cautiously optimistic. Now is a good time to buy high-conviction stocks, but it makes sense to buy those stocks slowly. The current stock market correction may turn into a bear market if trade tensions keep escalating, so it makes sense to hold some cash in reserve.

Trevor Jennewine has no position in any of the stocks mentioned. The Motley Fool has no position in any of the stocks mentioned. The Motley Fool has a disclosure policy.

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集團展望今年第一季度,預計車輛交付量8.8萬至9.3萬輛,增長9.5%至 15.7%。收入總額為234億元至247 億元,按年減少3.5%至8.7%。 去年第四季度收入總額443億元,按年增加6.1%,按季增加3.3%,其中車輛銷售收入426億元,按年增加5.6%, 按季增加3.2%。車輛毛利率 19.7%,按年跌3個百分點。毛利90億元,按年減少8.3%,按季減少2.8%。毛利率為 20.3%,按年跌3.2個百分點。 該集團指去年純利約80.3億元,跌31.3%,每股盈利8.06元,收入總額1445億元,增加16.6%,其中車輛銷售收入為1385億元,增加15.2%。車輛毛利率為19.8%,跌1.7個百分點。毛利為297億元,增加7.9%。毛利率為20.5%,跌1.7個百分點。 其他報道 港華去年核心利潤增35%至16億元  派中期連首派特別息共達19仙 全日沽空金額增0.61% 比亞迪沽空增2.5倍 GX中國電車增304倍 香港寬頻:Twin Holding轉換所持9億票據 持股佔16.3% 恒指收市升497點 科指升2.3% 成交增 北水流入減 長和跌6.3% 證監會尋求對金至尊集團全體前董事作出取消資格令及賠償令 碧桂園協商新償付方案 內地債券下周一停牌 鴻海去年純利1527億元新台幣創新高 AI伺服器出貨量逐季上升 陽明大兩房連車位月租4.5萬 04年貨租金回報近6厘 內地據報改革公募基金激勵機制 收益欠佳基金經理要減人工 艾德韋宣:AI設計團隊有效縮短提案周期40% 友邦:回購作為派息的補充 盡量投資業務推動增長 暗指雷軍? 格力董明珠稱「炒高股價成首富」 特斯拉據報將於上海推廉價版Model Y救銷量 中國金監總局鼓勵內銀風險可控前提下 加大個人消費貸款投放力度 【有片:埋身擊】恒指20天線有強大支持 有望挑戰25000點 半日沽空金額增11% 騰訊沽空增67% Bowtie伙港怡醫院升級自願醫保附加保障 增Histotripsy治療至「港怡醫院醫健組合」 金價創新高 逼近3000美元 恒指半日升598點 科指升2.7% 曾跌穿10天線 長和跌4.5% 美關稅重塑供應鏈 DHL:已準備助企業調整布局 Tesla警告貿易戰使Tesla容易受報復行動影響

Teva Upgrades Its 4PL Model, Enhancing Medicine Accessibility for Patients with Kerry Pharma

HONG KONG, March 14, 2025 /PRNewswire/ — Teva Hong Kong (“Teva”), has announced a strategic partnership with Kerry Pharma, the subsidiary of Kerry Logistics Network Ltd (“KLN”). Leveraging Kerry Pharma’s extensive logistics (fourth-party logistics, 4PL) distribution capabilities, this collaboration aims to enhance Teva’s pharmaceutical distribution system in Hong Kong, Macau, and the Greater Bay Area, ensuring

Deliveroo撤出香港 私隱專員公署:將向戶戶送展開循規審查 (12:35) – 20250312 – 即時財經新聞

另外,私隱專員公署同時發表有關公司註冊處資料外洩事故的調查結果。該署署審視了公 司註冊處提供的超過 1,500 頁的文件,可能受影響的人士數目為 109,002 名,包括 108,575 名公司董事的香港身 份證號碼、護照號碼及/或通常住址、217 名被取消資格人士、放債人牌照申請人及 持牌放債人委任的第三方的香港身份證號碼及/或護照號碼,以及 210 名持牌放債人 聯絡人的姓名、電話號碼及/或電郵地址。調查顯示,近九成涉及的個人資料,包括公司董事資料,仍可從已登記文件中經查冊服務查閱。 私隱專員公署認為,公司註冊處在系統翻新中採取一系列保安措施,亦並無證據顯示任何「額外」的個人資料已遭不當查閱。根據《私隱條例》保障資料第4(1)原則,公署並無足夠證據顯示,公司註冊處在翻新相關系統 的過程中沒有採取所有切實可行的步驟保障所持有的個人資料,已建議處方對載有個人資料的系統進行定期及全面的檢視,確保它 們沒有其他系統設計及安全漏洞。 調查由助理個人資料私隱專員(法律)(署理)賴皓茵及首席個人資料主任(合規及查詢)郭正熙主導,因專員鍾麗玲曾任公司註冊處處長而避嫌未參與。   其他報道 台積電據報建議英偉達、AMD等 入股英特爾晶圓廠合資企業 恒指半日跌158點 科指跌1% 北水轉流入93億 國泰去年多賺1% 派息0.49元 財庫局:26日舉行「裕澤香江」高峰論壇 辦「財富與投資盛薈周」 年內推稅務優惠方案 滬深三大指數半日個別走 創板指失守2200點 Uber終止收購台灣foodpanda業務 港元拆息全線向下 貨幣基礎近一周低 Shibor個別發展 上日北水大手沽盈富 街貨一周高 恒生中國企業街貨半年最多 阿維塔科技據報來港上市 籌10億美元 梁朝偉任代言人 摩根士丹利三菱日聯:美日利差收窄美元兌日圓或見145 蜜雪創新高後轉勢向下 仍較招股價高逾倍 植田和男對日本國債息創08年後高 不太擔心 比亞迪完成433億元配售 曾升逾4% 成交逾15億 滬深三大指數高開 人行進行1754億人幣逆回購 恒指高開77點 科指升1% 蔚來升7%

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