Understanding Recent Volatility in the Bond Market

October 25, 2024 Kathy JonesLiz Ann Sonders
Kathy Jones and Collin Martin give an overview of recent developments in the bond markets. They cover corporate credit spreads, issuance, preferred securities, TIPS, and more.
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    In this episode, Kathy Jones and Liz Ann Sonders discuss several of the latest economic indicators, focusing on inflation, employment, and the housing market. They analyze the current state of the S&P 500®, bond yields, and the implications of global interest rate cuts. The discussion highlights the importance of understanding market rotations and the impact of economic data on investment strategies.

    Next, Kathy speaks with Collin Martin, director and fixed income strategist at the Schwab Center for Financial Research. Kathy and Collin discuss the current state of the fixed income markets, focusing on the outlook for interest rates, corporate credit spreads, issuance dynamics, preferred securities, TIPS, and strategies for building a bond portfolio. They explore the resilience of the economy, the implications of Fed policy, and the importance of understanding various investment vehicles in the context of market volatility and economic uncertainty.

    You can read more about the Basel III regulations Collin mentions here.

    Lastly, Kathy and Liz Ann review the schedule for next week's economic data and indicators—and tell you which ones really matter.

    On Investing is an original podcast from Charles Schwab. 

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