2025 High Grade and High Yield Outlook, US vs. EU: Credit Crunch - podcast episode cover

2025 High Grade and High Yield Outlook, US vs. EU: Credit Crunch

Dec 11, 20241 hr 9 min
--:--
--:--
Download Metacast podcast app
Listen to this episode in Metacast mobile app
Don't just listen to podcasts. Learn from them with transcripts, summaries, and chapters for every episode. Skim, search, and bookmark insights. Learn more

Episode description

With credit markets enjoying a strong 2024 and with many uncertainties, charting the course for 2025 is a challenge. Will US trade policies slow Fed cuts and will ECB easing stay the course as priced, and what will this mean for credit? Will stubborn US yields filter into Europe? In this episode of our Credit Crunch podcast, host Mahesh Bhimalingam, chief European credit strategist at Bloomberg Intelligence, and Marc Rovers, Head of European Credit at Legal & General Investment Management, discuss the state of credit and the 2025 outlook for US and Europe.

They tackle relative value across credit on both sides of the Atlantic; high yield and high grade; fund flows and supply; defaults and ratings; fundamental and curve views. They also detail the risks across the US, UK and Europe, including German and French politics.

For the best experience, listen in Metacast app for iOS or Android