Description
Evan Serdensky, Portfolio Manager on our Total Return team, and Matt Bush, our U.S. Economist, join Macro Markets to discuss the latest FOMC meeting and the January jobs report, update our monetary policy outlook, and review relative value in the fixed-income market.
Related Insights:
Learning from Turning Points in Monetary Policy
The case for moving into higher-quality fixed income (and out of money markets and equities) while the Fed is paused and a head of coming rate cuts.
Read Portfolio Strategy Commentary
1Q24 High-Yield and Bank Loan Outlook
Implications for credit investors.
Read High-Yield and Bank Loan Outlook
11 Macro Themes for 2024
11 Trends that will shape credit markets in 2024.
Watch Video
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SP 60258
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