AI-powered
podcast player
Listen to all your favourite podcasts with AI-powered features
Market Correlations and Credit Performance Analysis
This chapter explores the significance of market correlations, highlighting the impact of high and low correlations on investor behavior and asset performance. Discussions focus on monitoring credit spreads and utilizing credit performance as an indicator for investment decisions rather than direct trading. The chapter also delves into the complexities of debt maturity decisions in the context of potential interest rate increases, touching on inflation, the labor market, and the Fed's response to economic indicators.