FICC Focus

Bloomberg Intelligence
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Nov 15, 2021 • 32min

Inflationary Impact on Energy, Utility Debt: Credit Chat

In this Credit Chat edition, our global team of energy and utility analysts (Spencer Cutter, Jaimin Patel and Paul Vickars) join Robert Schiffman to share their views on the sectors biggest risks and rewards as inflationary pressure and demand are rising.
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Nov 10, 2021 • 35min

J&J's Subsidiary's Bankruptcy & Distressed Debt Update: State of Distressed Debt:

In this State of Distressed Debt edition, BI bankruptcy litigation analyst Negisa Balluku and distressed credit analyst Philip Brendel join Global Credit Strategy head Noel Hebert to discuss how distressed debt may be stuck in a trough through May. Also discussed: The latest in Johnson & Johnson's subsidiary's (LTL Management LLC) bankruptcy filing as well as GTT Communications' pre-packaged filing.
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Nov 4, 2021 • 39min

Muni ETF Industry, Closed End Funds & New Players in Munis: The Muniland

This Muniland edition, hosted by Municipal Strategist Eric Kazatsky, focuses on muni ETF industry.Neil Azous, PM for Rareview Tax Advantaged Income ETF (RTAI). discusses muni ETF industry, Closed End Funds and how being a new player in the industry can give edge.
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Oct 27, 2021 • 30min

BoE, BoC & the Fed: Macro Matters

This Macro Matters edition, hosted by BI Chief U.S. Interest Rate Strategist Ira Jersey, focuses on central banks' outlooks. Dan Hanson of Bloomberg Economics discusses the Bank of England and his view that higher inflation now may push the bank to hike too quickly, causing inflation to undershoot after a few years. Interest Rate Associate Strategist Angelo Manolatos reviews the Bank of Canada meeting and shares his skepticism of the early hikes the market is pricing. And host Jersey gives his views of the Federal Reserve taper and suggests that the Fed may wait longer than the market is anticipating to hike, which may lead to further yield curve steepening.Original recording date: October 21, 2021
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Oct 25, 2021 • 28min

Consumer Inflation Woes: BI Credit

In this Credit Chat edition, our global team of consumer analysts including Jody Lurie, senior travel and leisure analyst, Mary Ross Gilbert, senior U.S. consumer products analyst, and Louise Parker, European consumer staples analyst, join Robert Schiffman to share their outlook for consumer credits, with systemic risk and inflationary pressures showing signs of rising.
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Oct 14, 2021 • 26min

Factor-Based Investments & Smart-Beta Revolution: EM Lens

In this EM Lens & Look-Through edition, Alessio de Longis, Senior Portfolio Manager and Head of Global Tactical Asset Allocation for Invesco, joins Damian Sassower of Bloomberg Intelligence to discuss the smart-beta revolution, as factor-based investment expands from equities to fixed income and foreign exchange. De Longis shares his views on factor-based investment performance across different beta regimes, and highlights the growing importance of emerging market risk premia. The two focus on the importance of active management, portfolio diversification, market liquidity and tail risk when taking a factor-based approach to investment.
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Oct 13, 2021 • 22min

Macro Matters G10 FX Strategy

In this Macro Matters edition, host and BI Chief U.S. Interest Rate Strategist Ira Jersey is joined by BI Chief G10 FX Strategist Audrey Childe-Freeman, who discusses why she thinks the dollar has more to rally - regardless of circumstances, how elections might affect the euro, and why Sterling remains at risk. In the Fun Fed Facts segment, Bloomberg Intelligence Associate Analyst Angelo Manolatos gives an update on how much the Federal Reserve's securities holds have grown as it prepares to reduce purchases next month.
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Oct 11, 2021 • 31min

State of Distressed Debt

In this State of Distressed Debt edition, BI Bankruptcy Litigation Analyst Negisa Balluku and Distressed Credit Analyst Philip Brendel join Global Credit Strategy head Noel Hebert to discuss the momentum in high yield markets, what may stop it and when. Also discussed: The latest for Washington Prime Group, Aeromexico, Latam Airlines, Intelsat and in Hertz’s Make-Whole battle.
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Oct 11, 2021 • 23min

Emerging Market Debt & Re-rating in China: EM Lens

In this EM Lens & Look-Through edition, host and BI Chief Emerging Markets Credit Strategist Damian Sassower is joined by Jonny Goulden, managing director of global EM research at JP Morgan. Goulden shares his outlook for emerging market debt, as the asset class can add incremental returns to global fixed income portfolios in an environment characterized by historically low developed market bond yields. The two discuss the relative allure of EM carry, the re-rating in China credit and the risks associated with central bank tapering.
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Oct 11, 2021 • 26min

Macro Economic Matters and the Fed

In this Macro Matters edition, host and BI Chief U.S. Interest Rate Strategist Ira Jersey is joined by Bloomberg Economics Chief U.S. Economist Anna Wong who discusses her path to join Bloomberg, what she's looking at for the future of the economy, and why she thinks a 2022 Federal Reserve interest rate hike isn't out of the question. In the Fun Fed Facts segment, Bloomberg Intelligence Associate Analyst Angelo Manolatos reviews the distribution of the FOMC's "dot plot" that now shows half the committee thinks an interest rate increase could come in 2022. He also mentions how market pricing differs from the newly minted 2024 dots.

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