Bloomberg Businessweek

Stocks Get Hit as Weak Treasury Sale Boosts Yields

May 22, 2025
Sandy Villere, a portfolio manager from Villere & Co., shares insights on stock strategies amid a volatile market. Jenny Rooke, founder of Genoa Ventures, discusses the critical intersection of tech and life sciences. Jim Litinsky, CEO of MP Materials, delves into the importance of rare earth minerals, especially given current geopolitical tensions. The trio tackles the implications of rising treasury yields and government deficits on market confidence, investor preferences, and the future of investment strategies in a changing economic landscape.
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INSIGHT

Investors Shun Long-Term Bonds

  • Long-term US Treasury yields rise sharply due to investor concerns over increasing deficits and fiscal discipline.
  • This reflects a broader global trend as investors avoid long-dated bonds from developed nations fearing default risk.
ANECDOTE

Defensive Investing Amid Volatility

  • Sandy Villere, Portfolio Manager, describes a defensive investing approach amid market volatility.
  • He favors dominant niche companies and holds higher cash levels waiting for attractive valuations.
ADVICE

Buy Dominant Niche Companies

  • Look for companies that dominate their niche even if you pay a premium.
  • Use market uncertainty to buy great businesses at attractive valuations.
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