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The UK bond market experienced significant turmoil, with fears of a sharp rise in borrowing costs to 7% or higher. This volatile situation led to brutal selling in the market. The Post Market Report and Pre Market Report on January 10, 2025, provided updates on this developing crisis. Episode 64 of ITPM Flash also discussed the situation, hinting at potential manipulation or a 'rigged game' in the bond market, adding to the uncertainty and concern among investors.

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