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Why the bond market may be resetting expectations about the US


Why the bond market may be resetting expectations about the US

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Summary

  • Annual US deficit near 6% of GDP
  • Growth in US debt is outpacing the economy
  • Interest on the debt is consuming a larger share of GDP
  • US AI hyperscalers have issued $220 billion of debt this year, competing for global savings

WASHINGTON, Aug 25 (Reuters) - U.S. debt hasn't been further downgraded, breakeven rates on inflation-protected bonds haven't spiked, and the cost of insuring against a federal default hasn't skyrocketed, signs that most investors still see U.S. bonds as a largely risk-free bet even if they have been ​demanding higher interest rates.

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