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Markets Weekly podcast (17 October 2022): What could bond market volatility mean for pension funds?

Published 3 years, 8 months ago
Description
What could uncertainty in the UK bond market mean for pension funds? Michel Vernier, our Head of Fixed Income Strategy, discusses the potential implications of the Bank of England’s recent emergency gilt-buying strategy. While host and Market Strategist Henk Potts explores the IMF’s downgrade of its global growth forecast for 2023, the impact of political uncertainty on UK assets, and persistently high inflation in the US.
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