Why is it that seemingly unrelated assets, such as stocks and crypto, seemed to crash at the same time? And what does it mean for investors’ efforts to diversify their risk?
Some big institution bois took massive loans in yen and bought assets with it. Then annoying japan raised the rates! Panic sell to pay loans, because bosses told them so.
Some big institution bois took massive loans in yen and bought assets with it. Then annoying japan raised the rates! Panic sell to pay loans, because bosses told them so.