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Why an Unstable Bond Market Is a Big Deal

Ones and Tooze

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Bond Market Turmoil and Investor Dynamics

This chapter examines the current instability in the bond market, focusing on the surge in 10-year bond yields and its implications for investors. It explores the interplay between government debt, currency values, and the potential for a broader financial panic, driven by interconnected investor behaviors and market volatility. Additionally, the discussion highlights the significant impact of bond market fluctuations on everyday financial aspects, while reflecting on historical lessons and the political implications surrounding economic crises.

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