
Investor Survey, Trade War and Dollar, 2H Outlook: Credit Crunch
FICC Focus
00:00
Navigating the High Yield Market
This chapter examines the current economic climate, focusing on inflation, European Central Bank policies, and the effects of tariffs on exports. It highlights the performance and outlook of the high yield market amid shifting investor preferences and potential default risks, while also discussing the balance of cash reserves and investment strategies. The discussion covers historical trends, upcoming predictions for defaults, and the impact of market dynamics on bond issuance, particularly within defensive sectors.
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