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Barings’ Bryan High on Adjusting to Volatility: Credit Crunch

FICC Focus

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Global Investment Team Dynamics

This chapter explores the structure and strategy of a global investment team managing a multifaceted portfolio across various asset classes, particularly in North America and Europe. It highlights the critical aspects of cross-department collaboration, risk assessment, and the evolving role of collateralized loan obligations in the private credit landscape. Additionally, the discussion delves into lending practices, market volatility, and the importance of strategic borrower profiles in optimizing investment decisions.

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