March 01, 2014
Discussion of market analysis and proposal of options trading strategies based on geopolitical events (US SPR release, Russian gas supply to Europe) and market correlations (copper, Turkish lira).
| Name | Type | Mentions | |
|---|---|---|---|
| Nav | person | 14 | View Entity |
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This document is an email from c. March 2014 written by 'Nav', likely a trader at Deutsche Bank, to an unnamed recipient. The email provides market analysis concerning a US Strategic Petroleum Reserve release and its geopolitical implications for Europe and Russia, and proposes specific WTI crude oil options trading strategies. A colleague named Tazia is CC'd to assist with pricing and liquidity.
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