S&T Perspective on recent market conditions

What's the perspective of current people working in S&T on recent activities in the market?

OCL volatility due to the Iran situation, FX volatility due to trade war which has moved over to equities and bonds.

How have you been experiencing these last days and whats your guess on the future?

Obviously also interested in any other active market participant (AM, LS HF, Quant HF) whatever!

1 Comments
 

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