Goldman Sachs Is Wary of Long Bonds With More Volatility Likely
Investors should continue to treat bonds with caution even as the selloff bolsters the case for holding them in multi-asset portfolios, according to strategists at Goldman Sachs Group Inc.
Read the full story at Bloomberg Markets ↗
ImpactNotable 35/100
Why it mattersRule-based estimate: no strong signals; trust 9/10.
RegionsGlobal
Published2 d ago (Thu, 17 Sep 2026 11:09:23 GMT)
RetrievedThu, 17 Sep 2026 12:00:17 GMT via rss
ClassifiedThu, 17 Sep 2026 12:00:25 GMT by heuristic
AuthorAlice Gledhill