Guggenheim Macro Markets
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Steve Brown, Chief Investment Officer for Fixed Income, joins Macro Markets to discuss portfolio strategy and our outlook following the  U.S. election and the Fed’s most recent rate cut. Related Content: 4Q24 High Yield and Bank Loan Outlook Effects of rate cuts on high yield bonds may be mixed....
Published 11/13/24
Where can investors find attractive yield while mitigating risk in the current environment? Karthik Narayanan, Head of Structured Credit, joins Macro Markets to discuss what makes the sector an important component of our actively managed fixed-income portfolios and where we are finding value...
Published 10/29/24
Tad Nygren, Head of Governments and Agencies, joins the podcast to offer insights on the market’s reaction to the Fed’s recent rate cut, economic data releases, and what may come next. Related Content: 4Q24 High Yield and Bank Loan Outlook Effects of rate cuts on high yield bonds may be...
Published 10/16/24