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efta-01388938DOJ Data Set 10OtherEFTA01388938
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DOJ Data Set 10
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efta-01388938
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this could be an interesting trade on ZAR without really getting directional exposure to it. The payout is defined
as a Samount per point of correlation. So that means selling the correlation at 80% for SlOk per point of
correlation is a max loss of $200k.
Let me know if you'd like to discuss.
Martin
DB FX Trade Idea
EURZAR-USDZAR Cor !at n Swap
irade Idea
•
Sell 6m EURZAR-USDZAR correlation swap at 80% (USD payout)
•
Sell 1y EURZAR-USDZAR correlation swap at 80.5% (USD payout)
Rationale
•
EURZAR-USDZAR implied correlations are close to the highest levels since 2007 (see graph 1)
•
This has been driven by ZAR implied volatilities trading at their highest levels relative to EURUSD volatility since the financial crisis (see
graph 2)
•
Since 2007 the highest 6m realized correlation is 94% and the lowest is 41%. For ly the highest is 93% and the lowest is 48%. Looking at
shorter dated metrics, 3m realized correlation has fallen from recent highs to now sit close to current strikes (see graphs 3 & 4)
•
The correlation swap provides a limited loss way of fading elevated ZAR volatilities and buying cheap EURUSD volatility, which could
perform in the event of any Eurozone concerns such as the Italian election
Graphs
Graph 1: EURZAR-USDZAR implied correlation at highs
100%
90% •01•04
RD% •
70% -
60%
50% •
40%
2007 2003 2009 2020 2011 2012 2013 2014 2015 2016 2017
— EuRZAR-uSOZAR 6m 'frond corr
EUICALUSOZAR lv inwied art
Graph 3: 6m realized correlation vs. strike
Graph 2: ZAR vols elevated compared to EMUS() vols
44%
•—••• EuRt$50601ZAR ly molted 'nilKral
-20
—
EURUSO•USOWI 1Y IMO NIKI veal gain
200; 2003 2009 2020 2011 2012 2013 2014 MI5 2016 2017
Graph 4: 1y realized correlation vs. strike
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0092923
CONFIDENTIAL
SDNY_GM_00239107
EFTA01388938
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