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Navigating Credit Markets in 2025
This chapter examines the performance dynamics of various asset classes, emphasizing the underperformance of cash against robust returns in credit markets. It evaluates audience expectations for total returns with a strong focus on U.S. high yield investments while contemplating the implications of current economic conditions and interest rate forecasts on investment strategies. The discussion highlights the credit cycle's middle phase, addressing the risks and opportunities that lie ahead for investors as they strategize for 2025.