FOMC Review, $1 Billion MicroStrategy Offering, Oil Hits Two Year High
Jun 19, 2021•42 min•Season 1Ep. 27
Episode description
In this episode of On the Margin, Mike and Tyler discuss why assets are predicting deflation post FOMC, why a high correlation between stocks and bonds means the death of the 60/40 portfolio, the $1 billion equity offering by Microstrategy, and the implications for the economy of rising oil prices.
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