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Very Good Topic to discuss due to the Risks in the Global markets. This time around, the Markets will experience Financial Event worse than 2008/9 and the Central Banks will not have the Tools and the Abilities to properly respond as they did in 2008. We project large Defaults, Counter Party Risks/Events, Liquidity issues, Gating, Bail Ins and etc. There will be severe issues of Financial Mkt Transmissions. Major issues will be with the European Banks, as well as with the Chinese Banks, which will cause a Global chain reaction. The system, since 2008, has been flooded with Debt and low quality Debt and Junk. majority is non self liquidating Debt. Debt Deflation will occur. Look forward to more discussions on this subject.
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Feb 8, 2016