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TIP495: The Changing Composition of Money w/ Alfonso Peccatiello

We Study Billionaires - The Investor’s Podcast Network

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Navigating Market Risks: Italy and Beyond

This chapter examines the evolving risks within the Italian government landscape, particularly focusing on credit default swaps (CDS) amidst rising concerns over potential redenomination. It discusses the implications of China's mounting economic challenges and their effects on global markets, as well as the factors influencing U.S. treasury spreads and bond market volatility. Additionally, the chapter highlights the anticipated impact of a weakening housing market on the U.S. economy, emphasizing the potential rise in unemployment and broader economic instability.

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