
Luke Gromen: Panic In The Bond Market Will Continue Unless Oil Or Dollar Relent
Forward Guidance
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Introduction
This chapter analyzes the current sell-off in the bond market, explores its potential consequences, and examines the factors that could worsen the situation. The relationship between economic conditions, government spending, deficits, and interest rates is also discussed, with a warning that the bond market could become disorderly quickly.
Transcript
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