
PGIM Lauds ‘Bulletproof’ CLOs as Credit Risks Rise
The Credit Edge by Bloomberg Intelligence
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Navigating Fiscal Policy and Credit Markets
This chapter explores the impact of recent fiscal policy changes on the economy and bond markets, analyzing the implications of tax reforms and burgeoning debt levels. It highlights the complexities of credit markets, emphasizing the need for careful navigation amidst uncertainties in high-yield and investment-grade securities. The discussion also includes strategies for managing risk and identifying opportunities in various sectors, with a focus on balancing defensive postures in light of rising credit risks.
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