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Episode 54: Make Room for High Yield

Guggenheim Macro Markets

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Tightening Spreads and High Yield Market Insights

This chapter explores the tightening spreads in the high yield market, attributing it to improving credit quality and low default rates despite interest rate hikes. The discussion includes insights on the implications, potential opportunities, and the importance of thorough credit analysis for investors. The team shares their strategies for finding value and their rigorous credit research process to navigate the market conditions.

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