A comprehensive overview of the corporate bond market, spanning from the effects of the pandemic in 2020 to the flourishing state of issuance in spring 2024. The chapter delves into credit spreads, investment opportunities, and the journey of a seasoned fixed income investor, offering valuable insights for market participants. Additionally, it explores the dynamics between private and public credit, emphasizing the significance of credit quality, market cycles, and interest rate considerations in investment decisions.

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