FICC Focus

Bloomberg Intelligence
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Jun 9, 2023 • 42min

Credit Troubles in Size, ESG and CDS: Credit Crunch

European credit markets have shifted since the banking crisis and the rally that followed, especially the shrinkage in junk. It's always interesting to hear views from across regions and this time we head to sunny France for some Gallic finesse in credit portfolio management.In the 11th episode of our Credit Crunch podcast, host Mahesh Bhimalingam, Chief European Credit Strategist, and Benoit Soler, Senior Portfolio Manager and Head of Credit at Keren Finance, discuss the situation in European credit and the specific challenges of ESG portfolio management with new regulations and the failure of CDS to "deliver" when expected.
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Jun 7, 2023 • 15min

Not Easy Being a Euro Bull, But It's No Time to Quit: FX Moment

Ever-changing drivers and low FX conviction views have been consistent with a $1.06-$1.10 euro-dollar in recent months, but a break of $1.10 toward $1.15 and higher remains feasible later this year. In our latest FX Moment podcast, host Audrey Childe-Freeman, Bloomberg Intelligence chief G-10 FX strategist, reflects on the euro-dollar's outlook as we contemplate 2H and after a very challenging 1H for bullish views.Childe-Freeman believes the positive narrative holds into 2H, with the European Central Bank's and Fed's monetary-cycle lags, a possible adjustment to more-supportive euro-US economic surprises and the US debt-ceiling deal are likely to help the view. Cyclical uncertainty in China is an unwelcome negative consideration, but it's arguably partly priced in. Click the exhibit to hear the podcast.
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Jun 1, 2023 • 19min

Abrdn’s Mondillo on Private, Public Corporates: Macro Matters

Corporate fixed income looks attractive compared with equities, Abrdn’s Jonathan Mondillo, head of North American fixed income says. Mondillo joins Bloomberg Intelligence’s Chief US Rates Strategist Ira Jersey on this Macro Matters edition of the FICC Focus podcast to discuss how private debt markets can offer opportunities and less volatility than some public credit areas. He also reviews Abrdn’s preferred sectors given its outlook for a recession beginning in early 2024, and the effects political policy and the Federal Reserve may have on fixed-income investing.
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May 25, 2023 • 40min

Credit After Crisis - US vs. Europe: Credit Crunch

The banking crisis on both sides of the Atlantic led to significant repricing and revaluation in credit markets globally. But the rally following government and regulatory actions has recovered much of the lost ground.In the 10th episode of our Credit Crunch podcast, host Mahesh Bhimalingam, Chief European Credit Strategist, and Noel Hebert, Chief US Credit Strategist at Bloomberg Intelligence, discuss the aftermath of banking crisis and the rally, performance of banking bonds including AT1s and CDS indexes and the outlook for credit markets on both sides of the Atlantic including fundamentals, defaults, central bank actions, yield-curve impacts and return forecasts.
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May 24, 2023 • 17min

Time to Talk About China's Recovery Again: FX Moment

In our latest FX Moment podcast, host Audrey Childe-Freeman, Bloomberg Intelligence chief G-10 FX strategist, and Stephen Chiu, Chief Asia FX and rates strategist, reflect on China's recovery story and on how some recent underwhelming monthly indicators reports may affect prospects into 2H as well as the currency market.Our analysts see the recent China economic news flow as a readjustment to more realistic growth expectations as opposed to evidence of a bleak outlook, with the recovery story intact for now. This implies that while the yuan is exposed near-term -- and that's not ideal for euro bulls either -- a more supportive narrative should return in 2H.
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May 23, 2023 • 22min

Inside Zero-Day Options With CBOE: All Options Considered

Questions have arisen around the growth of zero-days to expiry options, which now make up more than 40% of the overall volume of SPX options traded, and how this boom may be impacting the stock market. This edition of the All Options Considered podcast focuses on zero days to expiry options, or 0DTEs, and addresses the diversity of the investor base and what type of strategies are being traded. BI’s Global Derivatives Strategist Tanvir Sandhu is joined by Arianne Adams, Senior Vice President, Head of Derivatives and Global Client Services at Cboe Global Markets.
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May 22, 2023 • 25min

Assessing Opportunities and Risks Across EMEA Region: EM Lens

Geopolitical risk is accelerating across Eastern Europe, the Middle East and Africa, yet the region continues to outperform as end-of-cycle dynamics take hold. In this month’s EM Lens & Look-Through podcast, Bloomberg Intelligence’s EMEA FX & Interest Rate Strategist Sergei Voloboev joins Chief EM Fixed Income Strategist Damian Sassower to discuss his outlook on local currency and debt markets in Poland, Hungary and the Czech Republic. Voloboev also shares his views on Turkey’s general elections, Israel’s proposed judicial overhaul and South Africa’s energy crisis.
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May 18, 2023 • 25min

Schroder's Lisa Hornby on Mortgages, Corporates: Macro Matters

Lisa Hornby, Schroder Investment Management’s Head of Multi-Sector Fixed Income, says mortgages and shorter-term Treasury securities are more attractive than corporates given the firm’s outlook for the economy. Hornby joins Bloomberg Intelligence’s Chief US Rates Strategist Ira Jersey on this episode of the Macro Matters edition of the FICC Focus podcast. Hornby discusses why she thinks corporate credit may be challenged in some cases, yet says that broadly the risks are name-specific, rather than being confined to certain sectors. In the Interest Rate Intro segment, US Rates Strategy Associate Will Hoffman asks Jersey how a debt-ceiling deal could affect the Treasury General Account, along with bank reserves and other Federal Reserve liabilities.
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May 12, 2023 • 40min

Fixed Income Manager Sees Opportunity: Masters of the Muniverse

Despite positive year-to-date performance, navigating the heightened volatility in the rates market and declining new issue sales have been just some of the challenges investors have had to contend with this year. Though some have chosen to hide out in high-yield cash equivalents such as money-market products, opportunities exist if cloudy valuations can be navigated. Belle Haven Investments’ CEO and CIO Matt Dalton and Director of Research Dora Lee join Bloomberg Intelligence strategist Eric Kazatsky and Karen Altamirano on this Masters of the Muniverse podcast episode to share their muni-market perspective.
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May 11, 2023 • 25min

Bank of England, ECB, Fed Policy Decisions: Macro Matters

The market interpreting comments following the Bank of England’s 25-bp rate increase at the May policy meeting doesn’t square with the view of Bloomberg Intelligence European Interest Rate Strategist Huw Worthington. On this Macro Matter’s edition of the FICC Focus podcast, Worthington suggests that the UK’s rate-hiking cycle may be nearing an end, while the European Central Bank could raise somewhat further. He notes that quantitative tightening via asset runoff by the ECB is just beginning at full force. Recent credit-rating actions on France might have implications for reviews of Italy and could affect markets.BI US Interest Rate Strategist Ira Jersey also speaks with Chief US Economist for Bloomberg Economics Anna Wong about recent inflation data and the Federal Reserve’s policy actions last week. She discusses her view of the economy and inflation — highlighting the risk that inflation doesn’t fall aggressively — and the Fed remaining on hold for longer than the market is pricing.

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