Listen "Inside the Bond Market: Risks, Rates & Expectations"
Episode Synopsis
Ken Shinoda, Portfolio Manager at DoubleLine Capital, returns to Wealthy Behavior to share his perspective on the current state of the bond market, today’s economy, and the outlook for mortgages. In this episode, he discusses: Key risks facing the bond marketThe Fed’s independence and policy expectationsThe weakening dollar and its impact on bondsThe rapid expansion of private creditWhat really drives mortgage rates—and what the new “normal” might look likeVisit us at www.heritagefinancial.net. Send your questions to [email protected],And, don’t miss our free ebook and video course, How To Build Your Next Million—packed with expert insights on saving, investing, and protecting your wealth.
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