#asknostr
nostr:note1ymqygkz4kg85esfavkjv84mt9q97qn97n9qw532cqml7f9gwve5sekpeax
#asknostr
nostr:note1ymqygkz4kg85esfavkjv84mt9q97qn97n9qw532cqml7f9gwve5sekpeax
I believe it had less to do with the perceived correlation than it does a few other factors:
1. They were coming out of decades of stagflation and specifically negative interest rates…there was fear of unknown
2. Yield curve inverted for them if I recall correctly
3. Carry trade coinciding with the timing of the decision is a bigger factor in my opinion.
All of which to say is… increased volatility.