Dan Groch @Dan_Groch
Once a central banker, always a trend spotter. Veteran trader and Founder of Bleeding Edge Macro. bleedingedgemacro.com Melbourne, Australia Joined March 2009-
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@DsrPrivate He could have monetised via the betting markets. Thin but possible.
@DsrPrivate Marvin Barth nailed the prediction
@DsrPrivate Thanks Andy, appreciate you. It is this humility and systematic self-reflection that makes DS a compelling voice (and source of alpha) on this site.
Democracy is no longer a system of shared responsibility—it has become a sophisticated vote-buying machine, sustained by unchecked deficit spending. The costs are deferred through inflation, currency debasement, and the slow erosion of social cohesion. The political, social, and economic fractures increasingly fall along generational lines: the old secure entitlements; the young inherit debt, asset inflation, and stagnating opportunity. This dynamic is unsustainable. Possible endgames include fiscal discipline imposed by bond vigilantes, forced austerity in the wake of large-scale conflict, or a collapse into authoritarian control as institutions fail to adapt
@DannyDayan5 Now we know how Elon really got the black eye
@DsrPrivate @Jimmyjude13 Keen to hear your thoughts JJ I was planning to buy another put when we print 114
Why is anybody surprised? “Make America great again” policies are geared towards relocation of production inside USA. Of course there is going to be a demand for labour if local production increases. The risk is not a meltdown of the labour market, it is a melt up in long-term borrowing rates and inflation depending on the exact path of monetary and fiscal policy implementation. If the equity market was to weaken, causes would be phase shift in the discount rate b/c where long term rates land. And margin compression which should follow increased bargaining power by labour and a higher cost of capital.
How did everyone get it so wrong? This morning, the April Job Opening Labor Turnover (JOLTS) report was released. The headline number: *US APRIL JOB OPENINGS 7.391M; EST. 7.100M --- The number of open jobs in the country INCREASED in April! The same month that the collapsing
@DsrPrivate SPX has legit breakaway gap to fill down to 5,720
“If I wanted to ask ChatGPT something right now, about something we had talked about earlier, think about what would happen.”
Data looks fine at the moment, but seeds are sewn for the second wave. Our domestic AUD retail operation has in the past 60 days seen packaging supplier hike prices by 25%, chocolate supplier prices by 50% and accounting firm raised fees after prevaricating for two years; they say “we’ve waited as long as we can to pass on our costs, but we have never been as unprofitable as we are now“ What is happening under the hood? During the first inflation wave, economic agents who had pricing power exercised it, and indexed their prices to inflation (maybe gouged a little). Second wave is about price-taker agents scrambling to get a slice of the spending power being released back into the economy via rate cuts. Cost push inflation is a bitch. Economy is 100% soft but costs are hard. And slowdown is not going to ease the costs pressures.
Parting gift from Uncle Warren ratings.moodys.com/ratings-news/4…
@BergMilton SPX experienced upside gaps 23 April, 1 May & 12 May — given you interpreted upside gaps as a bearish signal before the recent correction, can you please help me understand why you don’t weight these gaps as a bearish signal now?
@DSMMAprivate 1,440 line has moved up to 5,905 — correction incoming. Possible top installed during this VIX / SPX opex.
Risk markets are marching in lock-step to the upside while the safety duo marches in lock-step the other way. That’s bullish today but concentration risk is high; one macro jolt can flip both clusters in unison. Keep an eye on BTC and yields as early warning lights.
Actionables to track over the next week #1 Bond/Gold correlation to each other If it breaks positive, safety trade fragmenting Could precede wider cross-asset volatility #2 BTC vs ES correlation First mover on liquidity turns Decoupling would flag liquidity tightening #3 DXY vs ES Rare positive link—fragile A single dovish data print can snap it
It’s a two-bucket world 🧵 - Risk assets (equities, oil, copper, crypto, dollar) are tightly positively correlated. - Safe-havens (long bonds, gold) are tightly negatively correlated. That’s a textbook “risk-on vs safety” split, just exaggerated to extremes.
@Jimmyjude13 @DsrPrivate That level – 5920, was a pivot going back to Q4 last year.
James Jude @Jimmyjude13
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