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Fed + Geopolitical Risks = Market Volatility | MRKT Call

RiskReversal Pod

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Discussion on Mismanagement of a Prominent Bank's Bond Portfolio and Speculations on Veiled Criticisms

This chapter explores the mismanagement of a prominent bank's bond portfolio and compares it to JP Morgan's actions. It discusses the concerns about decision-making and the impact on the bank's stock, as well as potential criticisms and investment strategies of both banks.

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