DB & TED Rate Analysis

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This indicates to me that there are major problems coming post election. DB             have a huge amount of systematic risk through their bond derivative exposure, which will cause a major crisis if heavy deleveraging occurs. Italian banks are also heavily under threat as MdP             has already had to be semi bailed out by the Atalanta Fund ( DB             holds a lot of Italian bank debt exposure as well).

Interesting and scary times ahead.
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