If this leading indicator Repo Rate is true and this theory/thesis is proven true. Then we are facing a Market Crash similar to the Dotcom crash. This leading indicator lags behind 1-2 years before a crash happens. Repo Rate at 5.35% and Federal Interest Rate 5.50% If so, What to call the next crash? How bad will it be? What will cause it? Which pillar will be the first to break? Cracks are already showing. Anything else I'm missing here?
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