5min chapter

Guggenheim Macro Markets cover image

Episode 60: Post-FOMC & Post-Election Analysis and Outlook

Guggenheim Macro Markets

CHAPTER

Strategic Portfolio Allocations in Fixed Income Markets

This chapter explores fixed income and credit market portfolio allocation strategies, focusing on balancing income generation with risk management. It examines current market conditions, including tight credit spreads and differential issuer pricing, and highlights the potential for active management to enhance returns amid volatility.

00:00

Get the Snipd
podcast app

Unlock the knowledge in podcasts with the podcast player of the future.
App store bannerPlay store banner

AI-powered
podcast player

Listen to all your favourite podcasts with AI-powered features

Discover
highlights

Listen to the best highlights from the podcasts you love and dive into the full episode

Save any
moment

Hear something you like? Tap your headphones to save it with AI-generated key takeaways

Share
& Export

Send highlights to Twitter, WhatsApp or export them to Notion, Readwise & more

AI-powered
podcast player

Listen to all your favourite podcasts with AI-powered features

Discover
highlights

Listen to the best highlights from the podcasts you love and dive into the full episode