Quarterly Outlook
Fixed Income Outlook: Bonds Hit Reset. A New Equilibrium Emerges
Althea Spinozzi
Head of Fixed Income Strategy
Chief Macro Strategist
Summary: The US equity market closed lower yesterday, but well off the lows of the day, which was important to prevent a further post-FOMC cratering of risk sentiment as the Nasdaq 100 Index avoided closing at new lows. Elsewhere, the USD rally proved a brief affair and turned tail, the oil rally extended, and sterling is in crosswinds on a dovish BoE but positive noises from latest Brexit talks.
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