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Største investorfrygt: En bristet boble i erhvervsobligationer

Morten W. Langer

mandag 30. marts 2015 kl. 9:19

Bank of America asked its bond clients what they are most concerned about. The answer, by a wide margin, “Bubbles in credit.

From Bank of America:

We asked high-grade investors what their biggest concern was for credit going forward (chart 1):

  • “Bubbles in credit” has jumped as the biggest concern (30%), having been third on the list in January’s survey,
  • Likewise “supply” has risen to be the second biggest concern (19%),
  • “Geopolitical conflict” is the third biggest concern (14%), but this is down from being the top concern in January’s survey,
  • Note deflation in Europe (the second biggest concern two months ago), is now down in 7th place (just 3%).

Not sure why of the master categories listed above “liquidity” is in, but if isn’t, it will be soon. And if it is “supply” at just 19%, expect this number to soar in the coming months as a true market test reveals there is absolutely no depth behind razor thin bid/ask “markets.”

Which is why the Fed is truly in a lose-lose situation, because on one hand the soaring USD will cripple what’s left of the US economic recovery story, and on the other everyone is now admitting 7 years of unprecedented liquidity injections have led to the world’s biggest, and truly global, asset bubble.

Damned if you do, Janet, and damned if you don’t. Is it clear now why Ben Bernanke couldn’t wait to get the hell out of dodge and leave the mess he left in the hands of someone else?

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