
David Breazzano - High Yields and Low Risk at Polen Capital (EP.405)
Capital Allocators – Inside the Institutional Investment Industry
Unpacking High Yield Bonds: Myths and Realities
This chapter delves into the misconceptions surrounding high yield bonds, particularly the overstated default rates. It emphasizes the reality of lower default rates and the role of yield in enhancing portfolio returns, while discussing strategies for identifying resilient high-yield securities. The conversation further addresses the balance between liquidity, investment decision-making, and the impacts of market dynamics on high yield strategies.
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