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Navigating the Repo Market and Credit Dynamics
This chapter examines the repo market's crucial role in financial crises, particularly during 2008 and 2011, while discussing the hoarding of safe bonds leading to collateral shortages. It explores the current state of credit availability, the implications of rising interest rates on banking behavior, and how shifts in deposit patterns may signal economic stresses. The conversation ultimately reflects on the complexities of the credit landscape and how monetary policies are influencing market dynamics.