Quarterly Outlook
Fixed Income Outlook: Bonds Hit Reset. A New Equilibrium Emerges
Althea Spinozzi
Head of Fixed Income Strategy
Market Strategist
Summary: US and Australian stocks rise for the third day, while Hong Kong’s market paired gains despite China saying it wants to minimise the economic toll of its zero covid policy. Oil rises back above $100, milk, bread, chicken prices rise again, along with lumbar, making it harder on the hip pocket, and adding pressure to the property market even before rates rise. Bitcoin bounces over $40,000 again. Plus, what to watch end of quarter. We also cover why to consider selling stocks in the ASX tech sector and selling or shorting listed property to take advantage of fresh highs before a probable pull back.
Co-written by Market Strategists Jessica Amir in Australia and Redmond Wong in Hong Kong
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