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DV1!: Fear Indicators vs. Facts & Figures
66 2 10
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Fear Indicators vs. Facts & Figures

In the last days and weeks overall fear indicators showing that bets and fears on a shortime drop of global stockmarkets had been rising dramatically. The main reasons - and all are geopolitics: - Trumps tradewars on China, NAFTA, Europe - Geopolitical tensions on Syria, North Korea, Russia - Upcomming First round of election in France What traders missed: ...

DV1!: Volatility Has Deflated on Both Sides of the Atlantic
48 1 6
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Volatility Has Deflated on Both Sides of the Atlantic

Implied (expected) volatility in the US and Europe have both dropped sharply. Historically speaking, there is more risk premium still padding the VSTOXX. The VIX is hovering at its lowest levels since last Summer's arid period. Not much 'depressed buying' left to do in these markets.

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DV1!: Euro Stoxx 50 volatility future
85 0 0
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Euro Stoxx 50 volatility future

Very low volume - leaning more to further downside, what would mean that euro stocks spike higher.

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