
Refinancing America: A Bond Vigilante’s View
Know More. Risk Better.
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Navigating Market Resilience and Treasury Dynamics
This chapter delves into the cautious yet resilient approach to US dollar assets, highlighting their attractive yields despite credit risks. The discussion emphasizes the importance of Treasury refunding over FOMC meetings, while reflecting on recent price actions and implications for long-end bond investors amidst evolving government strategies.
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