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"map_content": "I have a master\u2019s degree in quantitative finance from the University of London, a master\u2019s in econometrics, and a PhD in economics from Exeter.\r\nSo when I see finance Twitter stacking jargon like drunk men stacking chairs after closing time, forgive me if I ask for something more demanding than vibes in a waistcoat.\r\n\u201cCapital rotates toward asymmetry.\u201d\r\nWonderful.\r\nNow build the model.\r\nDefine the variables. Specify the mechanism. Show the constraints. State the assumptions. Identify the causal channel. Test the claim against data without quietly replacing evidence with narration.\r\nBecause at the moment most of this is just decorative babble.\r\nA chart is not a model.\r\nA slogan is not a theory.\r\nA sequence of historical anecdotes is not econometrics.\r\nIf the claim is coherent, formalise it.\r\nIf it cannot be formalised, say plainly that it is a trading story, not analysis.\r\nBut spare me the sermon written in Bloomberg-flavoured fog.\r\nSome of us know what finance actually is.",
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