
Kevin Muir
Know Your Risk Podcast
00:00
Navigating Bond Markets and Economic Shifts
This chapter explores various investing strategies with a focus on bonds and gold, examining their inverse relationship in current market conditions. The discussion covers the potential impacts of Federal Reserve rate changes, yield curves, and market volatility, as well as personal insights from banking experiences. Additionally, it highlights public sentiments on returns from the S&P 500 and the implications of fiscal policy and budget management on the overall economy.
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