Bond Market Screaming a Big Message - Real Time Insight
29 April 2013 - 9:06PM
Zacks
A funny thing happened on the way to serious
discussion about tapering off Quantitative Easing sometime late
this year: the 10-year Treasury Note rallied strongly from a yield
over 2% all the way down to 1.65%, only 25 basis points from its
lifetime lows hit last summer.
The bond market is sending a big message. But
what is it?
a) QE will really continue well into 2014 and
keep the long end of the yield curve subdued with the short
end.
b) Deflation is still a much bigger threat than
inflation and two groups of influential people know it: the doves
on the FOMC and big bond market investors. And apparently gold
investors were the last to find this out as many have been forced
to flee their monetary debasement hedge.
c) US equities are poised for a correction and so
money is hiding out in the safety of Treasuries.
d) This is mostly a function of the Bank of Japan
(BOJ) redoubling its QE reflation efforts and forcing expanded new
carry trades where you can borrow (sell) yen and invest in (buy)
higher yielding currencies and their assets.
e) All of the above, or something
else?
Forget the "great rotation" nonsense that went
around in the past six months. If equities really are the place to
be and the economy is steadily improving, why is there so much
demand for safe-haven instruments yielding 1.65% for 10
years?
This is an important question to have some
clarity about because it can frame your outlook on the global
economy and the vibrant US stock market. So let me hear from
you!
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