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2025 High Grade and High Yield Outlook, US vs. EU: Credit Crunch

FICC Focus

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HighYйд收益市場分析

In這個章節中,講者深入探討了當前高收益債務市場,分析了美國和歐洲的信貸狀況及其影響。強調了信用市場的韌性及特定行業的投資機會,並探討了政治因素對信貸市場的潛在影響。最後,討論了動態的投資策略及高收益與投資級債券的比較。

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