Guggenheim Macro Markets

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

Nov 13, 2024
Steve Brown, Chief Investment Officer for Fixed Income at Guggenheim Investments, shares his expertise on navigating the current market landscape. He delves into the implications of recent Federal Reserve rate cuts and their effects on fixed income yields. The discussion highlights risks in high yield bonds and the importance of strategic portfolio allocations to manage volatility. Brown emphasizes the need for investors to adapt strategies in light of economic forecasts shaped by the U.S. election, while identifying opportunities in the evolving financial environment.
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