
Credit Market Calm Is at Odds With High Default Risk, Schwab’s Martin Says
The Credit Edge by Bloomberg Intelligence
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Navigating Credit Market Risks
The chapter examines the current state of credit markets amidst trade uncertainties and high-risk factors, particularly focusing on the implications of default rates in the high-yield sector. It highlights the complexities of assessing corporate debt valuations and emphasizes the potential complacency among investors regarding risk compensation. Additionally, the discussion covers the effects of inflation, interest rates, and economic growth on credit investment strategies, advocating for a cautious yet balanced approach.
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