Top Trade #1: EUR/$ downside via a one-year EUR/$ put spread.
Top Trade #2: 10-year US Treasuries above 3% but not below 2% in
mid-2015, through cap and floor spreads at zero cost.
Top Trade #3: Long a Dec-2015 Eurostoxx 50 ‘bull’ call spread.
Top Trade #4: Long US High Yield credit risk via 5-year CDX HY junior
mezzanine tranches.
Top Trade #5: Long an equity basket of EM crude oil importers
(Taiwan, Turkey and India).
Top Trade #6: Short CHF/SEK.
Top Trade #7: Bearish Copper relative to Nickel, on supply divergence.
Top Trade #8: Long US Dollar against a basket of ZAR and HUF.