Wednesday, July 13, 2016

Behind the Bond-Stock Divide Is a Big and Risky Bet on Central Banks

The bond and stock markets have sent wildly divergent signals since the Brexit vote. But there is a way to reconcile these conflicting signals: bond investors don't expect economic catastrophe, they simply assume central banks will act as if catastrophe is around the corner.

from WSJ.com: US Business http://ift.tt/29E1ZDR
via IFTTT

No comments:

Post a Comment