The Bond Bull's Twain Moment
Robert Tipp, CFA, Managing Director, Chief Investment Strategist, and Head of Global Bonds explores whether the recent rebound in inflation and G-3 yields portends the beginning of the end for a bull market that has spanned more than three and a half decades. Or, whether the increase in rates driven by the Trump bump, ECB taper, and the so-called reflation trade turn out to be yet another buying opportunity, similar to the taper tantrum and all the other selloffs along the way.