Dean Curnutt, Macro Risk Advisors CEO, and Bruce Kasman, J.P. Morgan Chief Economist, discuss the stock market plunge from a macro standpoint. Steven Major, HSBC Managing Director and Global Head of Fixed Income Research, says we've had several months of a one-way street with bonds going up and equities rallying. Sarah Ponczek, Bloomberg Cross-Asset reporter, gives us a breakdown of volatility. Alberto Gallo, Algebris Investments Head of Macro Strategies, says we've seen a small correction and we could see more.

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