Oct 06, 2022 | Kelly Bogdanova & Tylar Lunke
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Analysis
The U.S. is the world’s largest debtor, and the combination of rising interest rates and trillions in U.S. government debt has left some investors a bit nervous.
With volatility once again roiling financial markets, we evaluate the macro headwinds and tailwinds that could impact investors.
The relationship between government bond yields and exchange rates is more complex than many investors realize.