The 10-year treasury yield is a critical economic indicator, and recent rumors suggest major institutions like BlackRock are stress-testing scenarios where it hits 9%. If this unprecedented surge occurs, it would trigger a massive $34 trillion financial bomb, sending shockwaves through the entire global economy.
In this episode, we break down the cascading consequences of a 9% yield on commercial real estate, corporate debt, the banking sector, and the stock market. While the immediate effects point toward severe market corrections and lending freezes, prepared investors will find massive generational wealth opportunities hidden within the crisis.
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