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100 Days Down: Making Sense of Trump's Market Shockwaves, with Katie Martin

Many Happy Returns

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Shifting Dynamics in European Financial Markets Amid Global Changes

This chapter explores the effects of increased German bond issuance amidst changing geopolitical dynamics and US policy influences. It discusses the robust demand for German bonds and the potential for joint European debt issuance, alongside a shift in investment strategies among European asset managers compared to those in the US.

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