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Markets Weekly podcast (16 June 2025): Bond market special

Published 1 year ago
Description
As periods of elevated volatility in bond markets remain likely in the second half of the year, we explore how investors might navigate the ongoing uncertainty. Michel Vernier, Head of Fixed Income Strategy, and Aleks Devic, Fixed Income Specialist, join Julien Lafargue to discuss the expected future path of US and UK interest rates, the potential impact of the Middle East conflict, and where value may lie in the credit market.
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