
Luke Kawa on the Macro Situation Right Now
Odd Lots
 00:00 
Navigating Bond Dynamics in a Stagnant Market
This chapter analyzes the role of portfolio management amidst a stagnant bond market, emphasizing the increasing significance of Chinese bonds and fiscal policy shifts. It also covers the implications of the Federal Reserve's approach to inflation and unemployment, and the challenges of integrating political factors into investment strategies.
 Play episode from 22:17 
 Transcript 


