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QCP Capital:尽管市场动荡,远期基差和融资利率仍表现良好

2024-08-05 18:44:19
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ChainCatcher 消息,QCP Capital 报告表示,加密货币的直接触发因素似乎是 Jump Trading 和 Paradigm VC 的 ETH 抛售。由于做市商急于削减短期期权的 gamma 头寸而加剧了这种情况,前端 ETH 波动率飙升超过 30% 至 120%。

宏观情绪也因上周五糟糕的美国失业数据而恶化。资产大规模平仓引发波动率急剧上升。VIX 触及 50(仅在新冠疫情和 2008 年金融危机期间更高),USDJPY 1M 平值波动率飙升至 16%,这可能导致进一步的平仓。

全球风险厌恶情绪也随以色列在周末击毙哈马斯领导人而加剧。伊朗誓言采取行动,美国已开始向中东部署部队。

尽管市场动荡,远期基差和融资利率表现良好。

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