Q&A #59
What are the similarities in collateral changes now to Mar ‘08? How much of an impact is Treasury bill deluge having? Who’s buying LT UST’s in the early hours? Who’s selling at the open? Can we make an early warning index out of macro indicators? Should we include money in them? Wouldn’t it have to be global, too? Are we going to do live QnA’s for EDU members? Why are CTAs and specs constantly so short LT USTs? Will there be more presentations?