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Macro Finance

Credit Markets Sputter as Spreads Widen Most Since March

Bloomberg Markets·October 2, 2026·1 min read

Credit markets are showing caution as spreads widen the most since March, with investors pulling back from treating high-grade debt as a safe haven. Lingering worries about record borrowings and inflation are driving the shift, signaling growing risk aversion in fixed income.

Read at Bloomberg Markets
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