
#43 - David Dredge: Risk Management
Insightful Investor
Navigating Economic Risks
This chapter analyzes various economic risks associated with government bonds and the implications of rising interest rates. It discusses the complexities of risk management in financial markets, particularly in light of foreign exchange volatility and different volatility dynamics across markets. The conversation emphasizes the need for structural changes in banking practices and critiques current monetary policies, advocating for a focus on financial stability over growth.
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