Trump administration manages bond market risks amid fiscal concerns

The Trump administration is using debt buybacks and investor outreach to stabilize bond markets. High deficits and debt levels maintain a fragile equilibrium.

洞察:
The US USUSadministration led by Donald Trump donald trumpis actively intervening in financial markets to prevent a repeat of the volatility seen earlier this year. On April 2, Donald Trumpimposed massive tariffs on dozens of countries, an action that caused bond yields to experience their steepest weekly rise since 2001. This revolt by bond investors forced a tactical recalibration as Donald Trumpsubsequently backed off, delaying the tariffs and ultimately imposing them at rates below initial proposals. The CBOE 10-Year Treasury Note Yield has remained a focal point for officials as they seek to manage investor expectations and prevent further disruptions to the iShares 7-10 Year Treasury Bond ETF .
Since those April peaks, 10-year Treasury yields have fallen over 30 basis points, and bond market volatility has recently reached its lowest levels in four years. Treasury Secretary Scott Bessent scott bessenthas been central to this stabilization effort. In a November 12 speech, Scott Bessentstated that his job is to be the nation's top bond salesman and emphasized that Treasury yields serve as a barometer for measuring success. This sentiment is echoed by Treasury spokesperson Kush Desai kush desaiand advisor Stephen Miran stephen miran, who have helped navigate the administration’s market presence. The Federal Reserve has also shifted its stance, ending its balance sheet rundown to become an active buyer of bonds again, particularly focusing on short-dated debt that often underlies the iShares 1-3 Year Treasury Bond ETF .
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