Part 10/11:
How will the Fed respond if liquidity strains persist or worsen?
Are these indicators precursors to a broader systemic crisis, or merely technical adjustments?
What does this mean for the future path of interest rates and quantitative easing?
Investors should be cautious, monitoring not just official rates but also the underlying market behavior and collateral conditions. Policymakers face the challenge of stabilizing a fragile system while unwinding the balance sheet without triggering further turmoil.