Bond Market Turmoil: Understanding the Recent Challenges and Future Strategies | Sébastien Page, CIO , T. Rowe Price. 00:10:00
The interview delves into the recent turbulence in the bond market, highlighting its worst quarter in over three decades. Experts analyze the factors contributing to this downturn, including the Federal Reserve's hawkish stance, inflation shocks from events like Russia's invasion of Ukraine, and the changing correlation between stocks and bonds. Despite the challenges, they discuss the continued relevance of bonds in diversified portfolios and offer insights into strategic positioning for investors.