Strategy Report
GFIS Model Bond Portfolio Q2/26: Three Scenarios, One Direction for Yields
Volatility is high, but the path for yields is clearer than it looks. Across three oil scenarios, we show how policy responses shape fixed income markets and why the balance of risks still points to lower yields.
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BCA Research | Global Fixed Income Strategy
Global Fixed Income Strategy, US Bond Strategy, Foreign Exchange Strategy, and Commodity and Energy Strategy.
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