
Who Wants to Buy The Debt?
IBKR Podcasts
Concerns and Risks in the Bond Market
This chapter addresses the challenges faced in 10-year and 30-year notes, emphasizing the underpricing of risk in the bond market compared to the stock market. It also highlights the instability of low-risk assets and the importance of re-evaluating the likelihood of rate hikes. Additionally, the chapter mentions the risks associated with systematic volatility selling.
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