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Trading: ZB - swing, CL -fast , ES confused - exposure and returns order
Posts: 14 since Feb 2015
Thanks Given: 46
Thanks Received: 13
Sorry for off topic
Hi I've been trading bond at 10+ lot size 30 mo. Futures options too, but that's another story..
I'll track this thread and others for a week and look at old posts.. BUT
I'm looking to update my skills : FUNDAMENTAL data and big picture ideas DRIVING BOND.
- TA and data I have under control - I'm building systems and have lots of decision logic
- Find Expert to chat with and Web resources
-- Why is bond up when Fed just upped rates and ES gone up too
- Yes I know the FEAR indicator well - mean reversion of FEAR / Greed is 50% of my trading style (monthly take)
- also am knowledgeable everything to DV01 and the theory of hedge lots of interest rate products.
Is there a resource that discusses trends and stuff. World market for Bonds over view. The German BUND doing A with likely case B in ZB as capital gets pulled to safety OR better rate? - BOND is 80% of NOTIONAL of market excluding FX There should be some GREAT like on OIL - tracking rig counts and trends
sorry long post . and impatience 5 other things today.. Leaked into this msg.