Bond Markets Show Resilience and Diversification Amid Volatility

1 min read
Source: Morningstar
Bond Markets Show Resilience and Diversification Amid Volatility
Photo: Morningstar
TL;DR Summary

2025 was a strong year for both stocks and bonds, with bond gains driven by interest rate cuts despite inflation concerns, benefiting diversified portfolios like the 60/40 strategy. The US dollar weakened, boosting returns on non-US investments, and upcoming economic data will influence future Fed rate decisions.

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