This article discusses the recent rise in global bond yields to their highest levels since 2008, indicating significant turbulence in the global financial system. Factors contributing to this situation include tariff disputes, stock market volatility, and broader economic uncertainties. Manus Cranny, The National's geo-economics editor, provides analysis on these developments and highlights key international financial stories shaping global markets. The piece emphasizes the current state of financial instability and offers insights into the factors driving market fluctuations.
Bias read (Center): The article focuses on economic indicators and market trends without taking a clear stance on political issues. It provides general analysis on financial conditions without favoring specific political perspectives or parties.
