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The Big Trade Underneath the Strangely Calm Surface of the S&P 500

Odd Lots

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Navigating Market Correlation and Risks

This chapter explores the complexities of market correlations, particularly in equity markets, and how they influence asset management during sell-offs. It highlights historical market crises and the importance of risk management, emphasizing the challenges traders face amid liquidity issues. The discussion also reflects on the impact of macroeconomic events and contemporary market dynamics, including the rise of AI in trading strategies.

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