
Junk Defaults May Rise on Small Cap Pain, Says Regions
The Credit Edge by Bloomberg Intelligence
Analyzing Credit Markets and Investment Opportunities
The chapter provides an in-depth analysis of the credit markets, addressing opportunities and risks for the latter half of 2024 and beyond. Topics include tight market conditions, upcoming elections' impact on spreads, potential Fed rate cuts, strategies for investments in high-quality names, concerns about rising default rates, and the significance of positioning investments in sectors with defensive characteristics like industrial and defense. The discussion also explores potential buying opportunities in utility bonds and the outlook on utilities in growing areas amidst market complacency.
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