Why Traders are Shifting from the “Trump Trade” in…
From Financial Modeling Prep: 2024-10-25 05:18:16
Analysts at BCA Research question the resilience of the “Trump Trade” bond market strategy. Factors like elevated bond yields and inflationary pressures are causing investors to reassess their positions. Geopolitical tensions and risk management are also influencing market strategies. As the Trump Trade fades, investors are exploring rebalancing strategies and alternative assets. Adapting to the changing economic landscape is crucial for navigating today’s bond markets.
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