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The Closing Bell: Wall Street Down As Geopolitical Fears Cause Risk-Off Trade
Over the past couple of weeks I have watched the US 10 Year move from a yield of about 2.5% down to about 2.25%. That's quite a move and with this I have backed off of buying in the income area of my portfolio; but, might continue to add to my CD ladder in the cash area of the portfolio.
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Over the past couple of weeks I have watched the US 10 Year move from a yield of about 2.5% down to about 2.25%. That's quite a move and with this I have backed off of buying in the income area of my portfolio; but, might continue to add to my CD ladder in the cash area of the portfolio.