-
Posted by
Two Blokes May 24 -
Filed in
General
-
#TwoBlokesTrading
-
9 views
In this episode, Crossmark Global Investment's Chief Market Strategist, Victoria Fernandez, breaks down what Moody's downgrade of US debt really means - and how tariffs, inflation, and political uncertainty are reshaping the fixed income landscape. You'll hear how Chinese trade tensions are impacting global yields, why bond market volatility is back, and what sectors investors should be cautious - or bullish - on right now.