
Episode #96
Episode 95: US debt, oil shocks and the risks testing global markets
What can past crises teach us about the pressures facing financial markets today? Milford Investment Analyst Katlyn Parker talks with Ryan Bridge about the rapid rise in US government debt, the bond market’s demand for higher yields and the renewed inflation threat from rising oil prices. She explains where vulnerabilities are emerging, what could turn a market repricing into something more serious, and why the consequences extend far beyond the United States. This podcast is intended to provide general information only. It does not take into account your investment needs or personal circumstances. It is not intended to be viewed as investment or financial advice. Should you require financial advice you should always speak to a Financial Adviser. Past performance is not a reliable indicator of future performance. Milford is an active fund manager with views and portfolio positions subject to change. Milford Funds Limited is the issuer of the Milford KiwiSaver Plan and the Milford Investment Funds. Please read the relevant Milford Product Disclosure Statement at milfordasset.com. Before investing, you may wish to seek financial advice. The disclosure statements of all Milford Financial Advisers contain more information and are available for free on request. For more information and to see our Financial Advice Provider Disclosure statement, please visit milfordasset.com/getting-advice

