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Goldman Sachs Is Wary of Long Bonds With More Volatility Likely
Source: Bloomberg
Credit & Bond MarketsInvestor Sentiment & PositioningInterest Rates & Yields
Goldman Sachs strategists said investors should remain cautious on bonds despite the recent selloff improving their case as diversifiers in multi-asset portfolios. The view signals that bond valuations may be more attractive after the decline, but risks to the asset class remain elevated.
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