RiskReversal Pod cover image

Paradigm Shifts: Valuations, Earnings & What The Market Holds In 2025 with Cameron Dawson

RiskReversal Pod

00:00

Navigating Fixed Income Markets

This chapter explores the intricate dynamics of fixed income markets, particularly credit spreads and their implications for equity markets as 2025 nears. It discusses the risks of aggressive risk-taking amidst tighter credit spreads and highlights the challenges posed by interest rate volatility and treasury bill management.

Transcript
Play full episode

The AI-powered Podcast Player

Save insights by tapping your headphones, chat with episodes, discover the best highlights - and more!
App store bannerPlay store banner
Get the app