AMEX:UUP   Invesco DB USD Index Bullish Fund ETF
It seems it's getting somewhat harder to simultaneously protect both equity and currency. But from having an easy time protecting both (since first announcing rates normalization due to having enough recovery) to having too difficult of a time protecting both to a point where enough price-insensitive selling occurs in either market to cause serious trouble, where is that point>? Maybe it is that the more obviously the lady chooses either, the closer that point is?... Attached is a USD chart
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