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On October 27 th 2020; Yield for 10 year maturity US Treasury bond was 0,771%, 10 year maturity Turkish Treasury bond was 14,52% and 10
On October 27th 2020;
Yield for
10 year maturity US Treasury bond was 0,771%, 10 year maturity Turkish Treasury bond was 14,52% and 10 year maturity Turkish Treasury Eurobond 6,83%
On January 4th 2021; same bond yields were as follows respectively;
UST 10y 0,918%, TRT 10y TRY12,97% and TRT 10y USD 5,30%
What can be understood about the risk structure of Turkish assets? How have they changed and why?
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