‘The new normal’: What the Street is saying about the latest bond market drubbing
- Posted on October 1, 2026
- By The Globe and Mail
- 1 Views
- 1 min read
Financial analysts reassess market expectations following significant bond market volatility. Wall Street professionals share their perspectives on whether recent turbulence represents a structural shift in fixed income dynamics or temporary fluctuations. The commentary explores implications for interest rates, investment strategies, and broader economic indicators. Institutional investors weigh portfolio adjustments against long-term positioning, while economists debate the sustainability of current yield environments and potential policy responses.
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