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FICC Focus

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

Preparing for Landing: All Options Considered

In this edition of the All Options Considered podcast on volatility, BI's Chief Global Derivatives Strategist Tanvir Sandhu discusses the key themes from the volatility markets year-to-date, reflects on the low volatility regime and the outlook ahead.

Jan 27, 20239 min

Last Year’s Laggards Are This Year’s Leaders: EM Lens

In this month's EM Lens & Look-Through podcast, BI Chief EM Fixed Income Strategist Damian Sassower is joined by Sergey Goncharov, Emerging Market Portfolio Manager at Vontobel. Goncharov shares his outlook for EM credit, as primary markets are open for business and corporate default rates remain low amid rising risk of recession. Central bank policy rates are well above pre-pandemic levels, and we see potential to receive in EM local debt markets as monetary tightening subsides.

Jan 25, 202321 min

Remote Work Prophet Comes to Muniland: Masters of the Muniverse

On this month's Masters of the Muniverse, Eric Kazatsky and co-host Karen Altamirano are joined by Stanford University Professor and "Prophet of Remote Work," Nick Bloom. We discuss how remote work has a history much deeper than the pandemic and what the future may look like for the workplace, cities and public transit.

Jan 23, 202340 min

Brown Rudnick's Stark on Bankruptcy Playbook: State of Distressed Debt

Global Credit Strategy head Noel Hebert and BI distressed credit analyst Philip Brendel discuss distressed debt’s awful 2022 performance and what’s next. Then, Philip and BI bankruptcy litigation analyst Negisa Balluku have an in-depth feature interview with Robert J. Stark, Chair of Brown Rudnick’s Bankruptcy & Corporate Restructuring group on corporate restructuring strategies and dynamics from all angles (8:00). Finally, Eliza Ronalds-Hannon join them for a roundtable discussion on names ...

Jan 20, 20232 hr 23 min

Leveraged Loan Outlook and Review: Credit Crunch

CLOs are driving loan supply and in our second Credit Crunch podcast, host Mahesh Bhimalingam, Chief European Credit Strategist at Bloomberg Intelligence, and Paul Mehta, Head of Leveraged Loans at Aberdeen, reflected on how the leveraged loan market fared last year and the outlook for loans in 2023. We discussed our leveraged loan outlook publication covering loan pricing, returns, supply and relative value vs. high yield bonds as well as loan growth vs. the bond market in detail. We also addre...

Jan 19, 202330 min

DM Rates Outlook: Macro Matters

Developed market central banks continue to fight inflation, but are at different points in tightening monetary policy. The Federal Reserve and Bank of England may be nearing the end of hiking regimes, while the European Central Bank may be somewhat slower to end tightening, according to Bloomberg Intelligence Interest Rate Strategists. In this Macro Matters edition of the FICC Focus Podcast, Bloomberg Intelligence Chief US Interest Rate Strategist Ira Jersey is joined by Huw Worthington, BI's Eu...

Jan 18, 202328 min

ECB and BOE Credit QT Scope and Impact: Credit Crunch

In our inaugural Credit Crunch podcast, host Mahesh Bhimalingam, Bloomberg Intelligence Chief European Credit Strategist and Heema Patel, Credit Strategy Associate, reflected on the scope and impact on credit markets of Quantitative Tightening by the ECB and BOE in 2023. Our positive outlook for credit returns in Europe is in place but the central banks have a key role in deciding if such a view will materialise or not. This podcast aims to give an idea of the size and monthly pace of such quant...

Jan 09, 202314 min

Quant Modeling: Macro Matters

Quantitative modeling is an ever growing component of financial analysis, with most investors using some form of it within their investment processes. In this Macro Matters edition of the FICC Focus Podcast, Bloomberg Intelligence Chief US Interest Rate Strategist Ira Jersey is joined by Vera Tian and Alex Montiel, Bloomberg Data Scientists working with the BI FICC research team. Tian discusses how she developed the BI Rates model for two-year inflation swaps and the work she’s doing on equity-d...

Jan 05, 202328 min

There Are Views Outside Dollar Bearish Box in 2023: FX Moment

In our latest FX Moment podcast, host Audrey Childe-Freeman, Bloomberg Intelligence chief G-10 FX strategist, Chief Asia FX and rates strategist Stephen Chiu and EMEA EM FX and Rates Strategist Sergei Voloboev reflect on the outlook for global currencies as we start 2023 and more specifically, on the extent to which the late 4Q 2022 dollar sell-off affects their 2023 currency outlooks, if at all. They also contemplate some relevant FX views and themes outside the dollar box for this year. Our an...

Jan 04, 202326 min

Big Banks Think 2023 Muniland Rebounds: Masters of the Muniverse

On this month's Masters of the Muniverse Eric Kazatsky and co-host Karen Altamirano are joined by three local men who have differing takes on the municipal landscape for 2023 and in some cases hope that their calls for the year ahead are not dashed by unforeseen forces, once again. In no particular order they are joined by Peter Degroot Head of Municipal Research and Strategy at JP Morgan, Vikram Rai Head of Municipal Strategy at Citi and Mikhail Foux Head of Municipal Research at Barclays.

Dec 16, 202250 min

Dec. Fed Plus MBS Deep Dive: Macro Matters

The market will eventually believe that the Federal Reserve's "Put" is further out of the money meaning the central bank may keep the federal funds rate at the peak for longer than the market is pricing, says BI Chief US Rate Strategist Ira Jersey. In this Macro Matter's edition of the FICC Focus podcast, Jersey is joined by Erica Adelberg, BI Mortgage Strategist. Jersey first discusses the December Federal Reserve meeting, his market outlook, and his view that the market will eventually believe...

Dec 15, 202224 min

Fundamentally Triggered, EM Rally Fueled By Repositioning: EM Lens

In this month's EM Lens & Look-Through podcast, BI Chief EM Fixed Income Strategist Damian Sassower is joined by Christian Lawrence, Head of Cross-Asset Strategy at Rabobank. Lawrence reflects on valuations amid the ongoing position squeeze, and shares his year-ahead outlook for emerging market rates and FX. Latin America stands out as the region is rife with risk premia that is tightly correlated to thematic macroeconomic variables.

Dec 14, 202221 min

Mark Shapiro on FTX, After Living Lehman & Distress Round-Up: State of Distressed Debt

“End of the day, there was a 45-cent recovery to unsecured creditors of Lehman. Do you think that’s going to happen here [with FTX]?...It’s apples and oranges. Because Lehman had a real asset base,” Mark J. Shapiro, Shearman & Sterling Partner and Chairman of the Financial Restructuring & Insolvency group, says on this episode of Bloomberg Intelligence’s FICC Focus Podcast. FICC Focus offers the latest market views on interest rates, corporate bonds, emerging-market debt, commodities and...

Dec 09, 20221 hr 3 min

Bloomberg Aggregate Index Outlook: Macro Matters

Treasury yields may fall further by the end of 2023, leading to positive returns for the Bloomberg Aggregate Index overall, according to Bloomberg Intelligence. In this Macro Matters edition of the FICC Focus Podcast, BI Chief US Interest Rate Strategist Ira Jersey is joined by BI Chief Credit Strategist Noel Hebert and BI Chief Mortgage Strategist Erica Adelberg to discuss their outlook for the Bloomberg Aggregate Index. Jersey notes that his view that Treasury yields could decline further by t...

Dec 08, 202227 min

2023 Evolving FX Drivers and Losing US Dollar Appeal: FX Moment

In our latest FX Moment podcast, host Audrey Childe-Freeman, Bloomberg Intelligence (BI) chief G10 FX strategist, along with chief Asia FX and rates strategist Stephen Chiu, reflect on next year's Global FX Outlook and assert that evolving FX drivers mean that conditions for a weaker US dollar are in place as we contemplate 2023. There are risks to the view and it's not a linear outlook, but looming inflation and rate peaks, a shift of focus from inflation to growth and a return in risk appetite...

Dec 07, 202229 min

Munis Fight Regulation and Change: Masters of the Muniverse

On this month's Masters of the Muniverse, Eric Kazatsky and co-host Amanda Albright are joined by the Municipal Securities Rulemaking Boards; President and CEO, Mark Kim. This edition comes at a time when municipal fixed income is feeling pressure from evolutionary forces. In fact, one of the best analogies we can give, is that munis are the John Dutton of fixed income Yellow Stone ranch, and the asset class is hell bent on resisting any sort of change or threats. However, if we take a step back...

Nov 29, 202256 min

Goldman’s 2023 Rate Call: Macro Matters

“We are certainly not talking about six or seven percent [federal funds target rate, but]... modestly above 5%,” Goldman Sachs Chief Interest Rate Strategist Praveen Korapaty says on this episode of Bloomberg Intelligence’s FICC Focus Podcast. In this Macro Matter’s edition, Chief US Interest Rate Strategist Ira Jersey is joined by Korapaty to discuss his team’s outlook for the Federal Reserve policy action and Treasury yields for 2023. Korapaty discusses his view that 10-year yields may climb a...

Nov 17, 202219 min

Structural Bulls or Sluggish Bears? Trend Reversal Lifts All EM Boats: EM Lens

FICC Focus offers the latest market views on interest rates, corporate bonds, emerging-market debt, commodities and currencies by Bloomberg Intelligence analysts. In this month's EM Lens & Look-Through podcast, BI Chief EM Fixed Income Strategist Damian Sassower is joined by Kaushik Rudra, Managing Director & Global Head of Fixed Income Research at Standard Chartered Bank. Rudra shares his outlook for emerging market fixed income, as falling US treasury yields and a weaker dollar fuel th...

Nov 17, 202224 min

The Path to a Euro-Dollar Recovery: FX Moment

In our latest FX Moment podcast, host Audrey Childe-Freeman, Bloomberg Intelligence (BI) chief G10 FX strategist, along with chief Asia FX and rates strategist Stephen Chiu, reflect on the recent euro revival and on how a sustainable euro-dollar recovery could unfold in the months and quarters to come.

Nov 10, 202217 min

Fed’s What Next: Macro Matters

“Powell did a masterful job in neutralizing the market rally from [after the Federal Reserve] put out its statement. I think Powell did what he needed to in order to ensure they could slow the pace of rate hikes, while moving the terminal rate higher,” Bloomberg Economics Chief US Economist Anna Wong says on this episode of Bloomberg Intelligence’s FICC Focus Podcast. In this Macro Matter’s edition, Chief US Interest Rate Strategist Ira Jersey is joined by Wong to discuss the aftermath of the No...

Nov 08, 202226 min

Prof. Jacoby on Mass Torts & Bankruptcy, Distressed's Slow Climb: State of Distressed Debt

With distressed supply settling back following a test of June’s highs, Bloomberg Intelligence expects it may consolidate a bit between $100-$150 billion as seasonal trends turn supportive in December, and believes this distressed supply rise will continue, however, more likely in drawn out and steady fashion rather than quick and volatile. FICC Focus offers the latest market views on interest rates, corporate bonds, emerging-market debt, commodities and currencies by Bloomberg Intelligence analy...

Nov 04, 20221 hr 13 min

Hybrids Plummet, Private Credit Booms, Pensions Dive: Credit Chat

Hybrids have significantly underperformed in 2022 and now trade wider than their high yield brethren, a trend that could extend into 2023. Private credit continues to grow assets and influence, yet spreads trail far behind their similar named “parent” companies. Bloomberg Intelligence’s global analysis also suggests changes in discount rates could be a big benefit for pension liabilities. This month’s podcast highlights the credit implications for BT, Telefonica, Boeing, Blackstone, KKR and othe...

Nov 03, 202229 min

UK Bond Volatility, Crypto to Housing Market: All Options Considered

In this edition of the All Options Considered podcast on volatility, BI's Chief Global Derivatives Strategist Tanvir Sandhu is joined by Professor Gregory Besharov at the University of Oxford. They discuss the volatility in UK bonds, crypto and the housing market.

Oct 31, 202222 min

EM Currencies Battle, But China Still Elephant in Room: EM Lens

In this month's EM Lens & Look-Through podcast, BI Chief EM Fixed Income Strategist Damian Sassower is joined by Rohit Goel, Director of Macro Research at Breakout Capital. Goel shares his outlook for EM currencies, as persistent dollar strength fuels the call for coordinated FX intervention. China remains the elephant in the room, and Goel shares his views following this month's Communist Party Congress.

Oct 28, 202219 min

TIPS and Inflation-Linked Securities: Macro Matters

“There is significant interest rate risk in TIPS in ETFs and Mutual Funds because they can’t necessarily get enough leverage to do a break-even trade,” Winshore Capital Partners Portfolio Manager Robert Tzucker tells Bloomberg Intelligence. In this Macro Matter’s edition of the FICC Focus Podcast, Chief US Interest Rate Strategist Ira Jersey is joined by Tzucker to discuss Treasury Inflation Protected Securities (TIPS) and other inflation linked instruments. Tzucker discusses how TIPS work, mark...

Oct 27, 202231 min

US Pension Fund Investing: Macro Matters

"Who would have thought LDI would be in the popular press in my whole career?" says David Eichhorn, CEO of NISA Investment Advisors on this edition of the FICC Focus Podcast. In this Macro Matters edition of the FICC Focus Podcast, Eichhorn joins BI Chief US Interest Rate Strategist Ira Jersey to discuss Liability Driven Investments (LDI), particularly US Defined Benefit pension plan, which he helps manage. Eichhorn discusses how LDI investments differ from other types of plans, how his firm man...

Oct 21, 202228 min

Global Financial Crisis Part Deux? Unlikely: Credit Chat

Global banks are much better positioned from a capital and liquidity perspective than they were heading into the 2008 financial crisis, yet pockets of concern are beginning to percolate. Bloomberg Intelligence’s analysis suggests solid credit quality is supported by considerable liquidity, but potential funding needs for U.S. Bancorp, PNC Financial, Truist and Mitsubishi UFJ may create bond-pricing anomalies, while Credit Suisse’s ultimate fate is a major question mark. In this Credit Chat editi...

Oct 11, 202228 min
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