You were given one of these countries with a relevant stock market and Fixed Rate market: USA

You were given one of these countries with a relevant stock market and Fixed Rate market: USA

1.length of government and corporate debt in years to maturity (ST 0-2 years, and LT 5, 10, 20, 30 years)

2.% of Eurobonds of the public and corporate debt of listed companies in the country’s stock exchange

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3.stock market performance vs interest rates and GDP growth, using country stock exchange index value (NYSE, DAX, CAC, MIL, IBEX, AEX, LSE, BOVESPA, Bolsa Mexicana, etc…)

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