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BTC021: Bitcoin and Bonds w/ Greg Foss (Bitcoin Podcast)

We Study Billionaires - The Investor’s Podcast Network

CHAPTER

Navigating Bond Market Dynamics

This chapter explores the intricacies of recovery rates in the bond market, particularly during corporate defaults and their implications on investor behavior. The discussion highlights the complexities introduced by yield curve control, bond price fluctuations, and the potential impact of significant economic events. Furthermore, the conversation addresses the future of high yield bonds, systemic risks, and the emergence of Bitcoin as a global reserve asset amidst changing financial landscapes.

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