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1. In analyzing the economic and financial market impacts of the QE announcements, what are the probable reasons for the changes in behavior of: o
1. In analyzing the economic and financial market impacts of the QE announcements, what are the probable reasons for the changes in behavior of:
o long-term interest rates,
o short-term interest rates,
o credit default swaps,
o inflation expectations.
Hint: This question is asking for reasons, not a summary of the changes in the Tables. For example, 10 year Treasury yields declined 107 basis points in QE1. Why?
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