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Navigating Credit Markets: Trends and Risks
This chapter examines the current state of credit markets, focusing on high yield and investment-grade spreads, along with potential future developments. The speakers provide insights into risks such as monetary policy tightening and economic slowdowns, while also highlighting the bullish outlook on high yield spreads. Additionally, the dynamics of private credit and its implications for market accessibility and regulatory changes are discussed, painting a comprehensive picture of the evolving credit landscape.