
What We Learned About Treasuries on the Night of April 8
Odd Lots
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Bond Market Turmoil of April 2025
This chapter examines the surprising volatility in the bond market during April 2025, emphasizing the events of April 8 and 9 that led to soaring yields. It features insights from a chief global interest rate strategist, discussing the influence of geopolitical factors, domestic policies, and structural changes in trading strategies on market dynamics. Through a comparison with past financial crises, the chapter highlights the ongoing uncertainty in the economic landscape and the potential consequences for the U.S. dollar as a reserve currency.
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