Dec 10, 2023
54 min 11 sec
3

Decoding the Bond Market

Ready to unravel the mysteries of the largest long-term capital market? Join us on an enriching journey as we decode the world of bonds with Edward Finley, a sometime Professor at the University of Virginia and an experienced Wall Street investor. Offering a deep-dive into the intricate workings of the $51 trillion bond market, Edward will shed light on the various types of bonds including Treasuries, corporate, and municipal, providing an invaluable insight into the dynamics of this, the largest long-term capital market.

The episode takes a closer look at the differences between different types of bonds, breaking down their distinctive features. Edward’s expertise also opens up the complex world of collateralized debt obligations (CDOs), providing a clear understanding of the $12 trillion mortgage-backed securities market and their different risk levels. As we navigate through the intricacies of conforming and subprime mortgages, we'll also journey back in time to explore the historical development of mortgages leading up to the great depression.

The discussion culminates by exploring the aftermath of mortgage market innovation, shedding light on how subprime mortgages and adjustable-rate mortgages in the early 2000s played a role in the liquidity crisis that shook the banking system. Get ready to gain a comprehensive understanding of credit default swaps and how they contributed to the impression of these mortgages as less risky than they actually were. With Edward's expert guidance, this episode offers a golden opportunity to expand your knowledge of the bond market and how its evolution has shaped the existing financial landscape. Tune in for an enlightening discussion that promises to deepen your understanding of long-term capital markets.

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New episodes will always updated regularly

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