

152. It Wasn’t Equity Turmoil That Spooked Trump — It Was the Bond Market. A Deep Dive into WHY
4 snips Apr 11, 2025
The podcast dives into the turmoil shaking the bond market and why it’s a big deal for investors. Recent treasury auctions and the dynamics of bond yields are explored, along with concerns over foreign demand and U.S. fiscal management. Listeners learn about the implications for the dollar's reserve status and the hidden risks within private equity markets. The discussion balances the chaos of inflation fears and trade policies while providing clarity for anyone navigating these turbulent financial waters.
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US Dollar Reserve Status
- The US dollar's reserve status means other countries hold dollars and buy US assets.
- This keeps US interest rates low, despite high debt.
Tariff Impact on Equities
- Equities may have been due for a correction, regardless of tariffs.
- Tariffs increase costs for companies and consumers, lowering profits and increasing inflation.
Treasury Auction Dynamics
- Upcoming supply in treasury auctions usually lowers prices in certain yield curve areas.
- A "flight to quality" trade can override this effect, driving up demand and prices.