
Markets Weekly podcast (7 September 2026): Are rising bond yields a warning sign?
7.9.2026
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Higher debt, heavier bond issuance and fiscal uncertainty are changing the fixed income landscape. In this week’s podcast, Michel Vernier, Head of Fixed Income Strategy, joins co-hosts Julien Lafargue, Chief Market Strategist, and Judiyah Amirthanathar, Market Strategist, as they explore why long-end yields could remain volatile, why rates may stay higher for now, and where investors can still find value across credit.
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