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Stocks just did something they hadn't done since 1995

US stocks just made the most unremarkable type of history.

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Friday marked the 13th straight day in which the S&P 500 failed to move more than 0.5% in either direction on a closing basis, the longest such streak since 1995.

The day was just "another waste of carfare and a clean shirt," Art Cashin, the director of trading-floor operations at UBS, wrote in a client note.

Clueless
Paramount Pictures

The stasis should be unsurprising for those watching the equity market over the past few weeks. In the absence of any major geopolitical shocks or economic surprises, investors haven't seen much of a reason to get riled up.

Their complacency has manifested itself in muted price swings, with the CBOE Volatility Index, or VIX, a barometer of investor nervousness, close to its lowest level on record. The so-called fear gauge slipped earlier this month to its lowest level since February 2007.

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It's possible investor concerns about the durability of the eight-year bull market have been assuaged by impressive S&P 500 earnings growth. Companies in the index are on pace to see 14% profit expansion for the period, the most since the third quarter of 2011, according to data compiled by Bloomberg.

Another potential explanation for the market malaise comes from the realm of technical analysis. On March 1, the S&P 500 came within a point of breaking 2,400 before bouncing off that key level of upward resistance. In the 2 1/2 months since then, the benchmark has twisted and turned in a tight range, testing 2,400 on multiple occasions but never closing above it.

Having closed last week at 2,390.90, the S&P 500 enters Monday once again searching for inspiration amid a light slate of economic data releases and as earnings season winds down.

Stocks Stock Market Volatility
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