276 episodes

FICC Focus offers the latest market views on interest rates, corporate bonds, emerging market debt, commodities, and currencies by Bloomberg Intelligence analysts.

FICC Focus Bloomberg Intelligence

    • Business

FICC Focus offers the latest market views on interest rates, corporate bonds, emerging market debt, commodities, and currencies by Bloomberg Intelligence analysts.

    Global Economic Decoupling With MKP’s McMahon: Macro Matters

    Global Economic Decoupling With MKP’s McMahon: Macro Matters

    “You’ve come off a period of 15-plus years of a zero interest-rate policy that has allowed politicians to believe that you can spend money at no cost,” says Patrick McMahon, co-founder and CIO of MKP Capital Management, “And we continue to do that, but now in a tremendously different interest-rate environment.” In this podcast, McMahon is joined by podcast host and Bloomberg Intelligence’s Chief US Rates Strategist Ira Jersey and Associate US Rates Strategist Will Hoffman. The trio discuss the state of the US economy and potential paths forward for monetary policy. They also dive into shifts in global economic conditions and the likelihood of interest-rate correlations breaking down as monetary-policy cycles begin to diverge.

    • 20 min
    Technological Advancement in Muni SMAs: Masters of the Muniverse

    Technological Advancement in Muni SMAs: Masters of the Muniverse

    Higher-for-longer rates, along with elevated municipal-bond issuance, may signal that attractive entry points for muni investors are here for a bit longer. Though reinvestment season is typically a slower time for new issuance, this is an election year, which may mean issuers will want to avoid the uncertainties that come with every election season. Fund flows and rich ratios are concerns, but the asset class’s ability to provide low-risk, tax-exempt income remains a key feature, especially if inflation pressures increase. Joining hosts Eric Kazatsky and Karen Altamirano on the May edition of Masters of the Muniverse is Nisha Patel from Parametric. In this month’s episode, we discuss the market outlook for the second half of the year and how technology overlays are driving Parametric’s strategies to help maximize returns.

    • 49 min
    17Capital's de Selancy on NAV Lending Expansion: Credit Crunch

    17Capital's de Selancy on NAV Lending Expansion: Credit Crunch

    NAV finance has been at the forefront of innovation in private credit markets, seeing tremendous growth since the start of the pandemic, when private equity funds began turning to alternative sources of funding. Pierre-Antoine de Selancy, co-founder and managing partner at 17Capital, joins Bloomberg Intelligence's Noel Hebert and Sam Geier on Credit Crunch to walk through how he's seen the evolution of the space. The conversation touches on the importance of fund-manager track records, use of proceeds, 17Capital's partnership with Oaktree, and a variety of other topics. Credit Crunch is part of the FICC Focus podcast series.

    • 58 min
    Rabobank’s Lawrence on Investing in a ‘New’ Old World: EM Lens

    Rabobank’s Lawrence on Investing in a ‘New’ Old World: EM Lens

    Geopolitical uncertainty is causing many developed and emerging market governments to invoke protectionist measures, and this new world order looks similar to the one that predated globalization. In this month’s episode of Bloomberg Intelligence’s EM Lens & Look-Through podcast, Cooperatieve Rabobank Cross-Asset Strategist Christian Lawrence joins BI Chief EM Fixed-Income Strategist Damian Sassower to share his views on monetary policy, foreign-exchange carry, global growth and real-yield differentials. They also discuss central bank divergence, foreign positioning, inflation dynamics and option volatility.
    This podcast is part of BI’s FICC Focus series.

    • 24 min
    PIMCO’s Jerome Schneider on Money-Market Dynamics: Macro Matters

    PIMCO’s Jerome Schneider on Money-Market Dynamics: Macro Matters

    Stickier inflation is here to say, and we probably aren’t returning to 2% in the near term, says Jerome Schneider, managing director and leader of short-term portfolio management and funding at PIMCO. Schneider is joined by host and Bloomberg Intelligence Chief US Interest Rate Strategist Ira Jersey and Associate US Interest Rate Strategist Will Hoffman to discuss the state of short-term liquidity and money markets. The trio examine long- and short-term evolutions of the market, portfolio composition and the regulatory environment. They also wade into asset allocation, investor behavior and Federal Reserve policy.

    • 34 min
    High Yield 2Q Investor Survey, Loan vs. Bond View: Credit Crunch

    High Yield 2Q Investor Survey, Loan vs. Bond View: Credit Crunch

    High yield had a great 4Q rally in rates and spreads, which filtered into 1Q gains as defaults stayed low. In Europe, the index default rate stands at 0.95% and the proportion of stressed and distressed bonds has come down, while it's higher in the US. Will 2Q sustain the gains, and why? Listen to Mahesh Bhimalingam, Bloomberg Intelligence's Chief European Credit Strategist, discuss the results of the 2Q24 High Yield Survey with Fiona Hagdrup, Head of Leveraged Finance Funds and PM at M&G Investments, along with market outlook and trends in a Q&A format.

    They discuss our 2Q investor survey publication, covering investor positioning, sentiment, key return drivers, default and supply forecasts and relative-value opinions by geography, rating and sector in detail. They also discuss how leveraged loan prospects compare with junk.

    • 1 hr 7 min

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