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Just caught this - German short-term bond futures trading got halted twice earlier this week on the European exchange. Market volatility was pretty intense, apparently. It's interesting how quickly things can spiral when sentiment shifts. The German market has been sensitive to rate expectations lately, so I guess this kind of disruption isn't totally surprising anymore. These trading halts are getting more common in volatile periods. Definitely something to keep an eye on if you're trading in the German market. Makes you think about position sizing and stop-losses when conditions get this choppy. Anyone else seeing similar volatility in other bond markets?