Annonce

Log ud Log ind
Log ud Log ind
Finans

Citigroup: Noget er helt galt på finansmarkederne

Morten W. Langer

lørdag 15. august 2015 kl. 12:29

Fra Zerohedge:

Earlier this year JP Morgan’s letter to shareholders, Jamie Dimon let it slip that there are some very disturbing things going on in today’s capital markets. Prices can gap in illiquid markets, Dimon explained, and that has the very real potential to spark a panic, causing illiquidity to spread to previously liquid markets. Dimon warned that one should not be fooled by relatively tight bid-asks; it’s market depth tells the true story, and as JP Morgan’s Nikolaos Panigirtzoglou will tell you, some markets (the Treasury market for instance) are getting quite thin indeed. 

The dangers associated with a widespread lack of market depth are of course exacerbated by the presence of HFTs. This was on full display during last October’s Treasury flash crash. Here’s what Dimon had to say on the subject: “..then on one day, October 15, 2014, Treasury securities moved 40 basis points, statistically 7 to 8 standard deviations– an unprecedented move – an event that is supposed to happen only once in every 3 billion years or so.” “Some currencies recently have had similar large moves,” Dimon added, referencing the carnage that accompanied the SNB’s abandonment of the euro peg in January (as well as countless other flash crashes and rips) and presaging precisely what we’ve seen this week on the heels of China’s move to devalue the yuan.

The takeaway from all of this is not, as Dimon concluded, that statistics can’t be trusted, but rather that when things that are supposed to happen once every 3 billion years start happening once every three months, or every three weeks, then something is definitively broken. 

Here, courtesy of Citi’s Matt King, is a look at some of the major one in a billion year events that have taken place over the last four years:

As King notes, either there’s a “widespread case of the hiccups”, or something else is very, very wrong.

Tilmeld dig vores gratis nyhedsbrev
ØU Top100 Finansvirksomhed

Få de vigtigste om bank, realkredit, forsikring, pension
Udkommer hver mandag.

Jeg giver samtykke til, at I sender mig mails med de seneste historier fra Økonomisk Ugebrev. Lejlighedsvis må I gerne sende mig gode tilbud og information om events. Samtidig accepterer jeg ØU’s Privatlivspolitik.

Du kan til enhver tid afmelde dig med et enkelt klik.

[postviewcount]

Jobannoncer

Spændende og alsidig stilling som økonomi- og administrationschef
Region Hovedstaden
Finance/Business Controller til Anzet A/S
Region Sjælland
Udløber snart
Dansk Sygeplejeråd søger digitalt indstillet økonomimedarbejder med erfaring i regnskabsprocessen fra A-Z
Region Hovedstaden
Forbrugerrådet Tænk søger en ny direktør
Region Hovedstaden
INSTITUTLEDER PÅ AAU BUSINESS SCHOOL – Aalborg Universitet
Region Nordjylland
Financial Controller til Process Integration ApS
Region Midt

Mere fra ØU Finans

Log ind

Har du ikke allerede en bruger? Opret dig her.

FÅ VORES STORE NYTÅRSUDGAVE AF FORMUE

Her er de 10 bedste aktier i 2022

Tilbuddet udløber om:
dage
timer
min.
sek.

Analyse af og prognoser for Fixed Income (statsrenter og realkreditrenter)

Direkte adgang til opdaterede analyser fra toneangivende finanshuse:

Goldman Sachs

Fidelity

Danske Bank

Morgan Stanley

ABN Amro

Jyske Bank

UBS

SEB

Natixis

Handelsbanken

Merril Lynch 

Direkte adgang til realkreditinstitutternes renteprognoser:

Nykredit

Realkredit Danmark

Nordea

Analyse og prognoser for kort rente, samt for centralbankernes politikker

Links:

RBC

Capital Economics

Yardeni – Central Bank Balance Sheet 

Investing.com: FED Watch Monitor Tool

Nordea

Scotiabank