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Guggenheim Macro Markets

Episode 48: Why We Like Structured Credit

Feb 20, 2024
Join Karthik Narayanan and Danny Gibbs as they discuss the structured credit market, exploring the role of portfolio managers, the diversity of collateral types, and strategic portfolio allocations. Learn about the firm's risk appetite for high credit quality assets and the importance of risk management in structured credit investments.
47:12

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Quick takeaways

  • Structured credit offers historical excess yields compared to corporate bonds, enhancing income potential.
  • Maintaining a long-term strategy during short-term volatility is crucial for investors in fixed income markets.

Deep dives

Importance of Long-Term Strategy Amidst Market Volatility

In times of short-term volatility, maintaining a long-term strategy is crucial for investors. Guggenheim Investments emphasizes a long-term focus on seeking relative value opportunities in undervalued parts of the fixed income markets, particularly structured credit, comprising asset-backed securities, collateralized loan obligations, and mortgage-backed securities.

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