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Navigating Right Tail Risk in Financial Markets
The chapter explores the impact of right tail risks such as inflation, asset price increases, and income inequality on the economy, discussing how deficit spending can concentrate wealth in the hands of a few individuals driving equities and real estate prices higher. It also delves into strategies for policymakers to maintain stability in the bond market amidst inflationary pressures and market expectations for potential rate cuts by the Fed in 2025.