Why the 30-Year Yield at 5 Percent Reshapes Bond Strategy episode artwork

EPISODE · Jun 7, 2026 · 11 MIN

Why the 30-Year Yield at 5 Percent Reshapes Bond Strategy

from The Bond Investing Podcast with Fexingo: Treasuries, Corporate Bonds, and Fixed Income Strategy · host Fexingo

The 30-year Treasury yield has touched 5 percent, a level not seen in decades. Lucas and Luna explore what that means for fixed-income investors — from pension funds to individual bondholders. They dissect the data: the long bond's yield has risen 20 basis points in a week while the 2-year stayed flat, pushing the curve steeper. They discuss why the 30-year matters more now than the 10-year, how it affects mortgage rates and corporate borrowing costs, and whether this is a buying opportunity or a warning sign. The hosts also examine the divergence between the 30-year and the Fed funds rate, and what it signals about inflation and fiscal risk. No fluff — just a clear, data-driven look at the bond market's biggest story this week. #30YearTreasury #Yield5Percent #BondMarket #FixedIncome #TreasuryYields #YieldCurve #SteepeningCurve #MortgageRates #CorporateBonds #PensionFunds #InflationExpectations #FiscalRisk #FedPolicy #RateHikes #BondInvesting #Finance #FexingoBusiness #BusinessPodcast Keep every episode free: buymeacoffee.com/fexingo

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Why the 30-Year Yield at 5 Percent Reshapes Bond Strategy

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This episode was published on June 7, 2026.

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