Business
Economic Shift and Market Reaction
The global economy is shifting towards a higher interest-rate environment due to increased government debt, rising oil prices, and inflation concerns. Investors are reacting with significant volatility in the bond market.
Coverage timeline — 1 article
CNBC
The bond sell-off is owed to a mix of high government debt issuance, an oil-price shock that has reignited inflation concerns, and expectations of higher rates.
2026-09-03 04:20 UTC