EPISODE · Jun 12, 2026 · 7 MIN
Stock and bond markets: the new normal of correlation
Dalla metÃÂàdegli anni 2010, la correlazione tra volatilitÃÂàazionaria e obbligazionaria ha raggiunto livelli storicamente elevati, erodendo un pilastro fondamentale della gestione del rischio finanziario. Questo fenomeno, che un tempo si verificava solo durante crisi acute, ÃÂè diventato la norma, con implicazioni significative per la stabilitÃÂàdel sistema finanziario.
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Stock and bond markets: the new normal of correlation
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