In this podcast, Edmund discusses how oil-driven inflation and geopolitical risks are reshaping bond markets and creating opportunities for investors.Oil prices surge due to Strait of Hormuz closure and conflict impactsInflation rises globally, with CPI and PPI readings in the US exceeding expectationsBond yields climb as real yields increase, pressuring equity marketsBonds offer attractive yields, making them a potential investment opportunityHosted on Ausha. See ausha.co/privacy-policy for more information.