Superday fixed income events
Have a super day for a role concerned mainly with fixed income products. Any good macro news events to mention that are affecting fixed income products? I understand everything going on with the Fed raising rates and and also Bank of Englands recent actions. Just wondering what some other relevant major events are and their effect on different products. Thanks
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Maybe focus on the difference in central bank policy across the world. Fed raising rates vs China’s central bank easing. How does this affect Chinese bonds vs US bonds, etc?
Also maybe talk about rate hike expectations and your thoughts on that.
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