wanaberetiree
Full time employment: Posting here.
- Joined
- Apr 20, 2010
- Messages
- 718
Hello,
As many of you here I am using my ca$h to buy T-bills, I use 8 weeks.
I am thinking that sometime in the future when it will be more clear that the Feds will stop interest rate hikes, it will be a good time to start buying longer-term treasuries maybe 10-20 years, etc.
My thinking process is that if I got long-term bonds and interests start coming down, and I need cash, I will be able to sell bonds with profit.
Does this sound like a reasonable assumption?
Thx
As many of you here I am using my ca$h to buy T-bills, I use 8 weeks.
I am thinking that sometime in the future when it will be more clear that the Feds will stop interest rate hikes, it will be a good time to start buying longer-term treasuries maybe 10-20 years, etc.
My thinking process is that if I got long-term bonds and interests start coming down, and I need cash, I will be able to sell bonds with profit.
Does this sound like a reasonable assumption?
Thx