Investing Insights

Why Bonds Belong in Your Diversified Portfolio (Even Now)

16 snips
Aug 1, 2025
In this insightful discussion, Paul Olmsted, a senior manager research analyst at Morningstar Research Services, dives deep into the current bond market's dynamics. He highlights how rising yields are making bonds attractive again, especially as diversifiers during stock market sell-offs. Olmsted addresses key concerns, including inflation and interest rates, while explaining strategies for navigating today's market volatility. He also sheds light on speculative fears surrounding the Federal Reserve and the importance of maintaining a balanced portfolio.
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INSIGHT

Key 2025 Bond Market Moments

  • Key 2025 bond market moments are tariff hikes, higher US debt, and every Fed meeting's drama.
  • These moments drive bond volatility and investor uncertainty about future market moves.
INSIGHT

Core Bond Market Concerns

  • Bond market core concerns include tariffs fueling inflation and recession fears lowering yields.
  • These conflicting forces increase volatility, complicating investors' risk assessment and decision-making.
ADVICE

Monitor Fed for Clarity

  • Watch Fed communications closely for future rate moves, as decisions remain data dependent.
  • Expect volatility to persist until clearer data emerges on tariffs and inflation impacts.
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