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Macro Finance

Cocktail of Risks Boosts Demand for Safest Bonds: Markets Wrap

Bloomberg Markets·October 1, 2026·1 min read

Risks spanning credit markets, elevated commodity prices, and French political turmoil boosted demand for safer government bonds, snapping a prolonged decline fueled by persistent inflation concerns. Investors sought refuge in government debt as these uncertainties weighed on risk appetite, reversing a trend that had been driven by inflation worries.

Read at Bloomberg Markets
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