South Korea’s credit bond market remains under pressure as capital shifts to equities and government bond volatility rises, with analysts expecting continued weakness amid resilient KOSPI performance and global rate hike trends.
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Credit Market Weakness Persists Amid Equity Money Moves and Rising Treasury Volatility

South Korea’s credit bond market remains under pressure as capital shifts to equities and government bond volatility rises, with analysts expecting continued weakness amid resilient KOSPI performance and global rate hike trends.

Yonhap Infomax