Core Viewpoint - The article discusses the rationale behind holding bonds in an inflationary environment, questioning their value as an investment choice [1] Group 1: Inflation Impact on Bonds - Inflation diminishes the purchasing power of fixed income from bonds, leading to a potential loss in real returns [1] - The article suggests that in a high inflation scenario, the opportunity cost of holding bonds increases as other assets may provide better returns [1] Group 2: Alternative Investment Strategies - Investors are encouraged to consider alternative assets that may offer protection against inflation, such as equities or real assets [1] - The discussion highlights the importance of asset allocation in an inflationary context, advocating for a diversified portfolio to mitigate risks associated with bonds [1]
Energy stocks are the new bonds, this strategist argues
MarketWatch·2025-12-17 11:36