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Navigating 2025: Why investors need to diversify and hedge their portfolios

Goldman Sachs Exchanges

CHAPTER

Bond Market Dynamics and Volatility Risks

This chapter explores the intricacies of the bond market, focusing on potential volatility stemming from Federal Reserve interest rate communications. It highlights shifts in supply and demand, particularly the decline of yield-sensitive buyers, and emphasizes the importance of monitoring upcoming treasury auctions.

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