

Global Strategy Outlook: 4Q25/Preliminary 2026
Season 9, Episode 12
This extended episode provides a comprehensive outlook across US, Euro, EM, and APAC credit markets as we head into 4Q25 and 2026. In US Credit Markets, the team sets an updated macro outlook and credit strategy, flags key trends shaping sovereign and corporate credit, and identifies the risk factors and market catalysts to watch. In Euro Credit Markets, they review sovereign and credit fundamentals, assess sector developments and potential issuer themes, and discuss the implications of policy and macro shifts across the region. For Emerging Market Sovereigns, they share the latest perspectives on EM credit risk and performance, highlight regional and country-specific views, and outline approaches to navigating volatility in global EM credit. In APAC Credit Markets, they examine risk factors and market catalysts, provide the latest read on APAC EM credit risk and performance, and review sovereign and corporate credit fundamentals across the region.