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am looking at what several other banks  were doing and SVB just looked less refined on their risk-taking  , some rivals seem to be leveraging the treasury holdings  4 or 5 times over ,  and M.B.S. ( as they are alleged to have sold at a loss  ) while the buying was poorly timed  wasn't that outrageous  when trying to get some yield on the capital inflows .( forced selling is always a problem )


let's see how the 'sophisticated ' players look once they start to unravel , i suspect they hoe their hedging bets will be some entangling  the Fed and government will have to save 'the system '


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