
High Yield 2Q Investor Survey, Views Amid Tariffs: Credit Crunch
FICC Focus
00:00
Navigating Market Volatility
This chapter examines the current financial market dynamics, focusing on index defaults and investor sentiment amidst favorable cash reserves. It discusses the potential rise in default rates, shifting supply expectations for bonds, and the contrasting performances between high yield and investment grade markets. The conversation highlights the evolving landscape of credit ratings and investor preferences, emphasizing the cautious approach taken by companies and investors amid market uncertainty.
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