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The Risks of the Rise of Passive Investing | Mike Green

Excess Returns

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The Dynamics of Passive Investing in Bonds

This chapter examines the challenges and implications of passive investing in the fixed income market, particularly as interest rates rise. The speaker contrasts unstable equities with the inherent reliability of bonds, exploring how market behavior shapes investment strategies under current economic conditions. Additionally, the chapter critiques market capitalization-weighted indices and their influence on investor decisions, while considering potential government responses to evolving market dynamics.

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