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There’s been relative calm in the banking sector recently after months of worry that a few regional bank failures in March were the first signs of much larger cracks in the financial system. Banks face ongoing liquidity risks, but the bigger issues in the next year could be in bank profitability and funding mix. In this episode, Gray Bowles, Senior Vice President of Portfolio Strategy with FHN Financial, discusses what he sees as the key risks for the banking sector in the next 6-12 months.
By Will Compernolle5
1919 ratings
There’s been relative calm in the banking sector recently after months of worry that a few regional bank failures in March were the first signs of much larger cracks in the financial system. Banks face ongoing liquidity risks, but the bigger issues in the next year could be in bank profitability and funding mix. In this episode, Gray Bowles, Senior Vice President of Portfolio Strategy with FHN Financial, discusses what he sees as the key risks for the banking sector in the next 6-12 months.

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