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Episode 23: A CIO’s View of the Bond Market

Guggenheim Macro Markets

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Introduction

Guggenheim Investments is responsible for $228 billion in assets as of June 30. The most recent top tier economic data suggest that another 75 basis point hike is heading our way at the November 2nd FOMC meeting. Rapidly rising rates have turned the US dollar into an economic wrecking ball and increased the risk for global market turmoil. Measures of stock market and bond market volatility are at elevated levels. At the same time, investment opportunities are being revealed by the change in market conditions.

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