SLR Capital Partners has built expertise in corporate lending, asset-based financing, life-science credits and other segments over nearly two decades. The firm’s cofounders Michael Gross and Bruce Spohler join Bloomberg Intelligence credit analysts Noel Hebert and Sam Geier to talk about how the firm thinks about underwriting risk across borrowers and the types of investment vehicles they’ve built out. The conversation hits on their principal investment approach, how they deal with problematic l...
Aug 13, 2024•57 min
Don’t expect “gentlemanly” behavior from corporate boards under financial stress, says Hilco Global’s Vice Chairman James H. M. Sprayregen, as they should consider exercising all the rights available to them under credit agreements to maximize enterprise value. Bloomberg Intelligence’s Phil Brendel and Negisa Balluku speak with Sprayregen, who founded Kirkland & Ellis’s restructuring practice more than three decades ago, in this episode of BI’s State of Distressed Debt podcast. They talk abo...
Aug 08, 2024•1 hr 25 min
The great dollar-yen unwind is under way, with the combined shift to much more dovish Fed-easing prospects and more hawkish BOJ expectations the perfect trigger to the unwind of the yen carry trade. Audrey Childe-Freeman, Bloomberg Intelligence's chief G-10 FX strategist, talks to BI's Chief Asia FX and Rates Strategist Stephen Chiu about what is still a negative dollar-yen narrative, while acknowledging that the pace of the recent moves have been extreme and aren't likely to be sustained. Steph...
Aug 06, 2024•15 min
The unemployment rate will surprise the Fed, rising to 4.5% at the end of this year, says Anna Wong, chief US economist for Bloomberg Economics. Wong joins host and Bloomberg Intelligence chief US rates strategist Ira Jersey to unpack the July FOMC meeting. The pair discuss Chairman Jerome Powell’s dovish tilt at the meeting’s Q&A, and what that means for likely rate-policy outcomes. They also the examine potential implications of possible fiscal-policy changes to inflation, trade policy and...
Aug 02, 2024•23 min
With US presidential election campaigns in full swing, we thought it prudent to revisit what this year could mean for the municipal bond market in terms of heightened risks -- and even some scenarios where it would benefit. Though past election years have returned more wins than losses for munis, macroeconomic issues accompanying the election will remain a hurdle. To discuss possible threats and the latest federal income-tax developments, hosts Eric Kazatsky and Karen Altamirano are joined by An...
Jul 31, 2024•49 min
Increased electronification and the growing prevalence of portfolio trading are creating opportunities for systematic credit, which seeks to harness the explosion of data to create models and strategies, says Paul Benson, head of systematic fixed income at Insight Investment. Benson joins BI credit strategists Noel Hebert and Sam Geier to discuss the history of the systematic approach, model dependency, excess liquidity premiums and identifying relative value. That and more in this latest episod...
Jul 29, 2024•1 hr 6 min
Steven Major, HSBC’s global head of fixed-income research, joins Bloomberg Intelligence’s chief US rates strategist Ira Jersey and BI senior rates strategy associate Will Hoffman to discuss some of the most controversial topics across global bond markets in this Macro Matters edition of the Bloomberg Intelligence FICC Focus podcast. The trio dive into the determinants of longer-run equilibrium interest rates and the relationship between supply and yields. They also touch on regulatory constraint...
Jul 27, 2024•33 min
The economy is firing on all cylinders and continues to show positive momentum, says Lara Rhame, chief US economist at FS Investments. Rhame joins Macro Matters co-host and Bloomberg Intelligence chief US rates strategist Ira Jersey and senior US rates strategy associate Will Hoffman to discuss the major drivers of the US Treasury market. The trio examine how the Federal Reserve may respond to current and future economic conditions, and the impact of various outcomes across asset classes and the...
Jul 25, 2024•24 min
In this edition of the All Options Considered podcast, BI's Chief Global Derivatives Strategist Tanvir Sandhu is joined by Matt King, Founder of Satori Insights. They discuss the impact of central bank reserves on cross-asset markets.
Jul 23, 2024•16 min
Shorecliff Asset Management’s Grant Nachman talks about the intellectually-enriching challenges of launching a new firm in this episode of Bloomberg Intelligence’s Credit Crunch podcast. Grant joins BI’s chief US credit strategist Noel Hebert and his colleague Sam Geier to discuss Shorecliff’s full-cycle credit-investing strategy, the benefits of having a lean team, a bottom-up due-diligence process, the ideal size for the strategy and more.
Jul 19, 2024•1 hr 3 min
Murat Ulgen, Global Head of EM Research at HSBC, and BI’s Chief Emerging Markets Credit Strategist Damian Sassower discuss how US yields and the dollar have driven emerging-market risk premiums and how resilient the asset class has been to rates repricing throughout 1H. They note dispersion within the broader market, the role of carry and the drivers behind the sentiment change in specific geographies - notably a curtailed bullishness for Latin America, and a shift toward Central and Eastern Eur...
Jul 17, 2024•29 min
High yield corporate credit had a strong 1H, despite rates volatility, as spreads rallied and defaults stayed low. In Europe, the index default rate stands at 0.85% and the share of stressed and distressed bonds has come down, while it's higher in the US. Will 3Q sustain those gains, and why? Listen to Mahesh Bhimalingam, Bloomberg Intelligence's Chief European Credit Strategist, discuss the results of the 3Q High Yield Survey, along with market outlook, with Peter Aspbury, Head of European High...
Jul 16, 2024•1 hr 6 min
US congressional partisanship is at it’s highest level ever and there’s no fiscal restraint on either side of the aisle, says Macro Matters host and Bloomberg Intelligence’s chief US rate strategist Ira Jersey. He joined BI’s chief European rate strategist Huw Worthington to discuss the implications of global elections across sovereign debt markets. The pair talk about recent volatility spurred by French and UK elections and their impact on relative value across markets. They also dissect the ou...
Jul 11, 2024•25 min
French and UK politics generated most headlines in recent weeks -- and France's political conundrum has yet to be solved -- but US politics are likely to take center stage and dictate the dollar's fortunes in the run-up to the Nov. 5 elections. Audrey Childe-Freeman, Bloomberg Intelligence's chief G-10 FX strategist, talks to BI's senior government analyst Nathan Dean about the near-term political agenda and what considerations may dominate when it comes to finalizing the Democrats' candidate. N...
Jul 10, 2024•20 min
US Supreme Court Justice Brett M Kavanaugh would have a “great career as a restructuring professional,” according to University of North Carolina at Chapel Hill law professor Melissa B. Jacoby, as his Purdue Pharma 54-page dissent mirrored many bankruptcy lawyers’ skepticism regarding the US trustee’s arguments. In this episode of Bloomberg Intelligence’s State of Distressed Debt podcast, part of the FICC Focus series, BI bankruptcy litigation analyst Negisa Balluku interviews Jacoby, author of ...
Jul 03, 2024•1 hr 14 min
A lot has changed in the world of munis over the past 40 years, but don’t take our word for it. Joining hosts Eric Kazatsky and Karen Altamiranoon the June edition of Masters of the Muniverse is Joe Mysak of Bloomberg News, retiring this month after 40-plus years of covering public finance. In this month’s episode, we discuss Joe’s storied career at Bloomberg, how the muni marke thas changed and what to expect for the second half of the year. To help us bid him farewell, we’re also joined by a f...
Jun 28, 2024•46 min
Watching the household survey portion of the Employment Situation report may be a better indicator of the economy, Stuart Paul of Bloomberg Economics says on this edition of the Bloomberg Intelligence FICC Focus Podcast. Paul joins host Ira Jersey, BI chief US interest rate strategist, to discuss recent economic data trends, the disconnect between surveys and hard data, upcoming data and the BE outlook for monetary policy. Paul says he believes US Federal Reserve Chairman Jerome Powell may be so...
Jun 27, 2024•24 min
Carry has been the primary driver of EM risk premia in recent years, yet the landscape may be shifting as growth improves, inflation recedes and geopolitical uncertainty takes hold. In this month’s EM Lens & Look-Through podcast, Managing Director of Emerging Markets at TCW Penny Foley joins Bloomberg Intelligence Chief EM Credit Strategist Damian Sassower to discuss demand for idiosyncratic carry as investors look to EM for uncorrelated streams of future income. Foley and Sassower touch on ...
Jun 19, 2024•21 min
Diversification, lower default rates and elevated yields are just a few of the features of today’s collateralized loan obligation (CLO) landscape, says Senior Managing Director and Head of Structured Credit at Pretium Jerry Ouderkirk. He joins Bloomberg Intelligence analysts Noel Hebert and Sam Geier on this episode of Credit Crunch to discuss the asset class’ current state and its evolution over nearly two decades. The dialog touches on what backdrops drive primary vs. secondary market allocati...
Jun 18, 2024•52 min
Citadel and MFN competing to fund an unsecured junior DIP financing was just one of the "remarkable" aspects of Yellow Corp's ongoing bankruptcy, according to its Chief Restructuring Officer Matt Doheny. The North Country Capital's founder and president sat with Bloomberg Intelligence's (BI) Phil Brendel to share his philosophies on distressed investing, derived from a wide-ranging career in law, finance, and politics. They dive into two of the most fascinating bankruptcy cases of our time -- Ye...
Jun 14, 2024•1 hr 30 min
Federal Reserve Chairman Jerome Powell and the Fed are conflicted on economic data, says Morgan Stanley’s Global Head of Marco Strategy Matt Hornbach in this edition of the Bloomberg Intelligence FICC Focus Podcast. Hornbach joins host and BI Chief US Interest Rate Strategist Ira Jersey to discuss the G3+ central bank, currency and interest-rate outlook. Though the totality of recent US economic data has been very confusing, Hornbach thinks a clear trend will soon emerge. The Morgan Stanley base...
Jun 13, 2024•30 min
Credit markets had a strong nine months of rally, particularly in spreads, although there were yield blips. As the environment changes with rate cuts, led by the ECB, are credit spreads too tight, despite low defaults? Is the rally justified on expected rate cuts for the rest of 2024? In this episode of our Credit Crunch podcast, host Mahesh Bhimalingam, Chief European Credit Strategist at Bloomberg Intelligence, and Axel Potthof, Head of High Yield at Fisch Asset Management, discuss the state o...
Jun 11, 2024•38 min
In this edition of the All Options Considered podcast, BI's Chief Global Derivatives Strategist Tanvir Sandhu is joined by Matthew Tym, Head of Equity Derivatives Trading at Cantor Fitzgerald. Discussion includes the US presidential election and impact of yield enhancement using options on index volatility.
Jun 07, 2024•19 min
The Bank of Canada's 25-bp June rate cut and statement bolster the view that dollar bears tired of waiting for the Fed could retain the loonie-bear view until a more-dovish US move unfolds, according to the latest FX Moment podcast. Host Audrey Childe-Freeman, Bloomberg Intelligence's chief G-10 FX strategist, talks to Stuart Paul, US and Canada economist at Bloomberg Economics, about the BoC and Fed near-term dynamics and currency implications. Canada's more-advanced economic cycle vs. the US j...
Jun 05, 2024•16 min
“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 s...
May 30, 2024•20 min
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 i...
May 28, 2024•50 min
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 pr...
May 24, 2024•59 min
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 di...
May 17, 2024•24 min
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 compos...
May 16, 2024•35 min
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 In...
May 14, 2024•1 hr 8 min