FICC Focus

Bloomberg Intelligence
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Dec 11, 2023 • 51min

2024 Credit Outlook and Private Credit Focus: Credit Crunch

The podcast discusses the crucial debate between inflation and recession for the 2024 outlook, the role of private credit, and the impact of central bank actions. It explores the advantages of private credit transactions, the potential credit outlook for 2024, and predictions for the CLO market. The disparities between companies in crossover and main categories are explored, along with analysis of rating profiles and portfolio positioning.
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Dec 7, 2023 • 17min

Navigating Dollar, Asia FX in Changing Economic World: FX Moment

The latest FX Moment podcast focuses on how evolving macroeconomic narratives could shape the US dollar outlook into 2024, with persistent uncertainties warranting pragmatism even if you still believe, as we do, in an underwhelming US economy in a disinflationary context, with associated dollar weakness. Host Audrey Childe-Freeman, Bloomberg Intelligence chief G-10 FX strategist, and Stephen Chiu, BI's chief Asia FX and rate strategist, also discuss China's macroeconomic predicament, acknowledging the not-so-bearish effect on currencies amid pessimism in China expectations in 2024 vs. 2023.Stephen and Audrey also reflect on the key investment themes and drivers for Asia currencies in 2024 and identify the best-poised and most-exposed Asia currencies as we contemplate 2024.This episode was produced and edited by Victoria Garcia Loustau.
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Dec 6, 2023 • 20min

Don’t Be Naive After a November to Remember in EM Debt: EM Lens

Emerging-market creditors are riding high after another strong November, with returns ranging from 5-6%. In this month’s EM Lens & Look-Through podcast, Cathy Hepworth, managing director and head of EM debt at PGIM Fixed Income, joins host Damian Sassower, BI’s chief EM fixed-income strategist, to deliver her year-ahead outlook on EM interest rates, credit and currencies. With policy-easing under way across a growing number of developing economies, she discusses the opportunities and challenges facing EM central banks as they attempt to navigate the expected slowdown in global growth.
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Nov 30, 2023 • 1h 3min

Arcmont’s Cavalier, Brooks on All-Weather Credit: Credit Crunch

Rising volatility, maturity walls and the withdrawal of traditional lenders are driving issuers and investors to capital solutions experts in the private credit world. Alice Cavalier and David Brooks, co-heads of the Capital Solutions Strategy group at Arcmont Capital Management, join Bloomberg Intelligence’s Noel Hebert and Sam Geier on this episode of Credit Crunch, part of the FICC Focus podcast. A deep dive into refinancing solutions, private lending and secondary debt, all part of Arcmont’s three-pronged investment approach, as well as regional complexities and the competitive landscape within private-credit are discussed.
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Nov 28, 2023 • 45min

Tax-Loss Harvesting Comes to Muniland: Masters of the Muniverse

There’s been heightened volatility in rates and tax-loss harvesting may or may not be the best course of action. On this episode of Masters of the Muniverse, part of the FICC Focus podcast series, Andy Kalotay, a leading authority on quantitative analysis of municipal bonds, joins Bloomberg Intelligence’s Eric Kazatsky and Karen Altamirano for an in-depth discussion about the muni market this year, tax-loss harvesting and what’s on the horizon for 2024. 
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Nov 23, 2023 • 27min

Rate Markets Mispricing Early Interest Rate Cuts: Macro Matters

Rate markets are mispricing early interest rate cuts by the Federal Reserve and the European Central Bank, Bloomberg Intelligence interest rate strategists Huw Worthington and Ira Jersey say on this Macro Matters edition of the FICC Focus podcast. They discuss their general views for government debt issuance, which part of the investor base may buy the new debt and central bank policy outlooks. Worthington also goes into detail about recent plans for fiscal stimulus going into the UK elections, which need to occur sometime in 2024.
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Nov 21, 2023 • 58min

Brandywine Global's McClain on Risk, Value in High Yield: Credit Crunch

Economic and monetary policy uncertainty have been among the few constants confronting credit markets throughout 2023, generating divergent views around return prospects even as high yield markets look set to exit the year largely unscathed. “I haven’t seen more dislocations than I see today,” John McClain, Portfolio Manager High Yield & Corp Credit Strategies at Brandywine Global talks about the array of options in today’s credit market. McClain joins Bloomberg Intelligence’s Noel Hebert and Sam Geier on this Credit Crunch episode of the FICC Focus podcast series for an in-depth discussion about what’s ahead for high yield, targeting esoteric risk and some of the structural changes impacting the asset class.
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Nov 16, 2023 • 18min

Fed More Macro-Relevant Than China, Russia & Israel: EM Lens

Emerging market investors have found the Fed more macro-relevant than China, Russia or Israel in recent weeks, as equities are up, oil is down, spreads have tightened and the US dollar has declined since the war erupted in Gaza. In this month’s EM Lens & Look-Through podcast, Win Thin, senior vice president and global head of foreign-exchange strategy at Brown Brothers Harriman, joins Bloomberg Intelligence’s chief EM fixed-income strategist Damian Sassower to discuss his outlook on EM interest rates and foreign exchange. From the rise in US Treasury volatility to China’s sluggish economic recovery, the opportunities and challenges facing emerging-market economies are also reviewed.
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Nov 14, 2023 • 1h 2min

Rout and Rally: Investing In a 5% World: Credit Crunch

In this episode, experts discuss the impact of central bank tightening on credit and risk assets, as well as the potential effects of the yield-curve inversion. They explore credit fundamentals and flows and discuss the state of the credit market and client sentiment. The availability of credit assets for investors and the potential impact of central bank holdings are examined, along with the projected increase in net supply in European bond markets and its impact on credit. Additionally, the podcast delves into central banks' approach to policy rates, the potential impact of rising rates on credit markets, and the relationship between credit and equity markets.
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Nov 10, 2023 • 18min

Revisiting Dollar Price Action as Bears Look to 2024: FX Moment

Our latest FX Moment podcast focuses on changes in US dollar price action and what can be learned when it comes to finalizing 2024 US dollar prospects. Host Audrey Childe-Freeman, Bloomberg Intelligence chief G10 FX strategist, and Jeremy Stretch, Chief International Strategist at CIBC World Markets discuss the dollar-negative narrative that could unfold in 2024, and conclude it won't be an easy ride for dollar bears as long as the Fed holds onto a high-for-long rate language, with Jeremy suggesting that euro-dollar could see a pullback toward $1.02-$1.03 before contemplating a brighter outlook.Audrey and Jeremy also look at the outlook for the Canadian dollar, with the prospect for 2024 Bank of Canada dovishness likely to leave the currency exposed to not only the US dollar, but also vs. the euro and the Aussie dollar.

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