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    Home»Investing»Japan’s Bond Market Flashes Red as 30-Year Yields Go Parabolic
    Investing

    Japan’s Bond Market Flashes Red as 30-Year Yields Go Parabolic

    November 20, 20251 Min Read


    The bond market is sending a clear message.

    The chart below shows the 30-year Japanese government bond yield going back two decades.

    Bond Chart

    Price action is becoming parabolic, as bond investors require more and more premium to hold long-duration Japanese bonds.

    Why?

    The new Japanese PM decided to unveil a fresh stimulus package worth $120 bn, which is 3% of GDP.

    I repeat: 3% of GDP!

    In Japan, has been above the Central Bank target for 2.5 years and the Shunto wage negotiations have now produced 5%+ salary bumps for two years in a row.

    Yet the BoJ still sets rates as low as 0.5%, and the government is now working on a gigantic fiscal stimulus package on top.

    As a result, bond investors extrapolate a future full of inflation risks and macro volatility – and they want to be paid more to hold long-dated government bonds (this is the famous ’’Term Premium’’).

    How do you think this will end?

    ***

    This article was originally published on The Macro Compass. Come join this vibrant community of macro investors, asset allocators and hedge funds – check out which subscription tier suits you the most using this link.





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