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Hedge Funds, Derivatives, Debt, China and the Risk of Systemic Market Panic

It seems that with every significant market swoon, commentators come out of the woodwork on financial television and speak of the risk of systemic risk to the financial markets, more recently from hedge fund or complex derivative blow ups, or events from China. I think there is always the risk, however small, that such an event could occur and cause a large scale meltdown, and we would be foolhardy to say this would never happen.

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