
The Bond Investing Podcast with Fexingo: Treasuries, Corporate Bonds, and Fixed Income Strategy
Lucas and Luna dissect the fixed-income markets with the precision of a bond trader reading a prospectus. Each episode tackles a single corner of the bond universe — from 2-year Treasury note auctions and inverted yield curves to investment-grade corporate debt, high-yield junk bonds, and municipal paper. The hosts anchor every conversation in real-time market data: today's 10-year yield move, the latest Fed funds rate expectation from CME FedWatch, credit spread widening in the energy sector. They explain how duration, convexity, and call provisions affect returns, and they do it without jargon for its own sake. Lucas walks through the mechanics of a bond ladder or a TIPS strategy while Luna asks the hard questions: Why does this matter for a retiree? How does a pension fund use this? What happens to a corporate bond portfolio when the economy tips into recession? The show serves professional investors, financial advisors, and serious individual bond buyers who want to understand the plumbing behind the price. Every episode is built around a live chart — the yield curve from , a corporate spread table, a CDS index move — but those visuals are described, not shown, so the conversation stands on its own as audio. By the end, you'll grasp not just what happened in bonds today, but the structural forces that will shape returns for months ahead. What happens to your 30-year Treasury when the next fiscal crisis hits? #FixedIncome #Treasuries #CorporateBonds #YieldCurve #FederalReserve #BondInvesting #Duration #CreditSpreads #HighYield #Munis #TIPS #BondLadder #PortfolioStrategy #Inflation #RecessionSignals #Finance #FexingoBusiness #BusinessPodcast Keep every episode free: buymeacoffee.com/fexingo
About
Information
- CreatorFexingo
- Years Active2026
- Episodes127
- RatingClean
- Copyright© 2026 Fexingo. All rights reserved.
- Show Website