
BTC110: Japanese Credit Markets, Bitcoin, and Nostr w/ James Lavish (Bitcoin Podcast)
We Study Billionaires - The Investor’s Podcast Network
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Volatility in Japanese Credit Markets
This chapter analyzes the Bank of Japan's decision to maintain a low yield on 10-year government bonds amidst rising global interest rates, exploring its effects on liquidity in the bond market. It discusses the alarming rise in Japan's debt-to-GDP ratio and the implications of the government's increasing ownership of its bonds. The dialogue highlights the delicate balance Japan must strike between combating deflation and fostering inflation in a challenging economic landscape.
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