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Risks and opportunities for investment grade credit in 2025

The OMFIF Podcast

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Navigating Investment-Grade Credit Dynamics

This chapter explores the contrasting states of investment-grade credit spreads in the US and Europe, detailing the implications of tight spreads in the US versus wider spreads in Europe due to macroeconomic factors. It emphasizes the critical role of security selection, expected performance against Treasuries, and the outlook for resilient growth, while addressing the influence of central banks and duration as key risk factors.

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