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98. Why the Bond Market Is Rejecting U.S. Debt

Drunk Real Estate

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Navigating the Bond Market Crisis

This chapter explores the intricate dynamics of the bond market, emphasizing the effects of government borrowing and the challenges posed by rising interest rates and inflation. It discusses the Federal Reserve's management of bonds amidst a significant $2 trillion deficit, highlighting the concerns surrounding U.S. debt and its global implications. The analysis reveals the risks of extensive government intervention in the economy and underscores the urgency for policy changes to address unsustainable debt levels.

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