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Mike Wilson: The Risk of a Credit Crunch

Thoughts on the Market

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The Fed Bail Out of Depositors - Why Did US Stocks Rally Last Week?

Mike Wilson, Chief Investment Officer and Chief U.S. Equity Strategist for Morgan Stanley: The risk of a credit crunch has increased materially. Bond markets have exhibited volatility around these developments as market participants realize the ramifications of tighter credit. If growth is likely to slow further from the incremental tightening in the US banking system, why on earth did US stocks rally last week? We think it had to do with the growing view that the Fed and FDIC bail out of depositors is a form of quantitative easing which provides a catalyst for stocks to go higher.

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