“Disruptors can ruin the status quo, but they can replace the status quo with something that is not sustainable because it doesn’t have a core business model. Streaming right now is in that space,” Aswath Damodaran, professor of finance at the Stern School of Business at New York University says on this month’s State of Distressed edition of the FICC Focus podcast. In this episode, Bloomberg Intelligence global credit strategy head Noel Hebert, distressed credit analyst Philip Brendel and bankru...
Oct 06, 2023•1 hr 34 min
In our latest FX Moment podcast, host Audrey Childe-Freeman, Bloomberg Intelligence chief G-10 FX strategist, and Stuart Paul, Bloomberg Economics' US economist, discuss possible US recession risks, the US economic outlook into 4Q and 2024 and associated downside risks for the dollar. Audrey and her colleague talk about how the US economy already may have started to turn, and how -- combined with a mid-term disinflation outlook -- 2024 Fed rate cuts may be contemplated after all, which could tri...
Oct 05, 2023•21 min
“Your optimized portfolio isn't optimal if you can't trade it.” Paul Kamenski and Robert Lam, co-heads of credit for Man Numeric, join Noel Hebert and Sam Geier of Bloomberg Intelligence on the Credit Crunch podcast to talk about the evolution and outlook for systematic credit. Trade automation, training models and why systemic credit is still in it's early stages of growth. Credit Crunch is part of the FICC Focus podcast series.
Sep 28, 2023•1 hr 2 min
In this edition of the All Options Considered podcast, BI's Chief Global Derivatives Strategist Tanvir Sandhu is joined by Pierre de Saab, Partner at Dominice to discuss the latest developments in the volatility landscape. Topics discussed includes interest-rate volatility, VIX risk premium, call overwriting strategies and zero-days-to-expiry options (ODTEs), which now make up more than 50% of the overall volume of SPX options traded.
Sep 26, 2023•16 min
In this edition of the All Options Considered podcast, BI's Chief Global Derivatives Strategist Tanvir Sandhu is joined by Dan Hanson, Senior UK Economist. They discuss the Bank of England, economic outlook and market volatility.
Sep 25, 2023•15 min
Despite trillions being passed through recent bills to reduce inflation and spur infrastructure spending, neither goal has really been met. At first blush, the prospects of all that federal money being directed at much needed infrastructure improvements and repairs was music to the muni markets ears. However, that dream of being part of the funding solution has never really materialized and only added to the myriad of issues facing the tax-exempt market. Joining myself and Karen this month to di...
Sep 22, 2023•53 min
“The 10-year Treasury ending the year around 4.2-4.3% seems fair, but the recent selloff has been overdone,” William Marshall, head of US rates strategy at BNP Paribas says. Marshall joins host Ira Jersey, Bloomberg Intelligence’s chief US interest rate strategist on the Macro Matters edition of the FICC Focus Podcast to discuss his market views in the wake of the September FOMC meeting. The pair dissect recent yield moves across the curve, as well as underlying catalysts and narratives. These i...
Sep 21, 2023•23 min
In this month’s State of Distressed Debt edition of the FICC Focus podcast, Bloomberg Intelligence global credit strategy head Noel Hebert and distressed credit analyst Philip Brendel discuss high yield’s and distressed’s uncanny strength through the summer amid higher rates. Then, bankruptcy litigation analyst Negisa Balluku and Brendel have an in-depth interview with Kris Hansen, co-chair of the financial restructuring group at Paul Hastings, on how “creditor-on-creditor violence” is a misnome...
Sep 19, 2023•1 hr 54 min
Should the US economy avoid a recession over the coming months as anticipated by the Bloomberg Economics team, the Federal Reserve may remain on hold for all of 2024, Bloomberg Intelligence Chief US Interest Rate Strategist Ira Jersey says on the latest episode of the Macro Matters podcast. The Fed may be forced to end asset runoff in 1H24, he says, as reserves become scarce. In addition, Jersey answers other common questions from buy-side investors during his recent California roadshow, includi...
Sep 17, 2023•21 min
Emerging market currency volatility is on the rise, as the dovish tilt in monetary policy causes real yield differentials to converge with the US and Europe. In this month’s EM Lens & Look-Through episode, Shamaila Khan , Head of Emerging Markets & Asia-Pacific at UBS Asset Management Americas, joins Chief EM Fixed Income Strategist Damian Sassower to deliver her outlook on emerging market debt. From idiosyncratic risk in EM distressed debt to China’s struggling property sector, we discu...
Sep 15, 2023•24 min
Credit markets saw stupendous growth in socially responsible and green bonds from a variety of credits and many sustainability and ESG specialized funds and investment vehicles have taken off in the past four years. In this episode of our Credit Crunch podcast, host Mahesh Bhimalingam, Chief European Credit Strategist at Bloomberg Intelligence, and Mitch Reznick, Head of Sustainable Fixed Income at Federated Hermes Limited, discuss the shades of sustainable bond and fund types: Sustainability, E...
Sep 12, 2023•52 min
In our latest FX Moment podcast, host Audrey Childe-Freeman, Bloomberg Intelligence chief G-10 FX strategist, and Stephen Chiu, BI chief Asia FX and rates strategist, look into how the recently announced plan for a larger BRICS has rekindled the de-dollarisation theme. Audrey and her colleague address the highly relevant economics and politics behind the BRICS extension and look into how this may impact de-dollarisation. In practice, expect limited impact for decades to come, with the dollar unc...
Sep 06, 2023•18 min
Money has been leaking out of municipal mutual funds this year, but the same can’t be said for alternative products, such as exchange traded funds, though there’s been some recent cooling, especially in separately managed account platforms, an area we’ve spent much time exploring this year on Masters of the Muniverse. In this episode of the podcast, Andrew Clinton, CEO and founder of Clinton Investment Management, sits down with Bloomberg Intelligence’s Eric Kazatsky and Karen Altamirano for an ...
Aug 30, 2023•51 min
The keys to evaluating structured credit are “the value of the assets, the value of the structure and the value of the option,” according to Brett Jefferson, founder, president and co-CIO of Hildene Capital, with $14 billion in assets under management. Jefferson and co-CIO Dushyant Mehra join Noel Hebert, Bloomberg Intelligence’s director of FICC research, and Sam Geier, senior credit strategy associate, on this Credit Crunch episode, part of the FICC Focus podcast series for an in-depth discuss...
Aug 25, 2023•59 min
The Treasury market selloff throughout August was in part due to increased issuance, but largely driven by the market repricing the future path of monetary policy, TD Securities USA’s Chief US Interest Rate Strategist Gennadiy Goldberg says on this Macro Matters podcast episode hosted by Bloomberg Intelligence’s Chief US Interest Rate Strategist Ira Jersey. Goldberg discusses his views on the Treasury market, the future of global monetary-policy actions and investor expectations for the economy....
Aug 24, 2023•20 min
Credit markets have had a correction in the past month, across the board. It takes us to an interesting juncture where we ask if the correction has longer to go or is largely done, and which asset classes stand to benefit most in its aftermath. In this episode of our Credit Crunch podcast, host Mahesh Bhimalingam, Chief European Credit Strategist at Bloomberg Intelligence, and Boris Okuliar, Co-Head of Global Liquid Credit at Ares Management, discuss the situation in global credit and the challe...
Aug 22, 2023•51 min
In our latest FX Moment podcast, host Audrey Childe-Freeman, Bloomberg Intelligence chief G10 FX Strategist and Maeva Cousin, senior euro area economist at Bloomberg Economics, look into the euro and US near-term growth dynamics and how these may shape BI's euro-dollar outlook into year-end. We also touch on the euro-inflation outlook and European Central Bank's rate prospects for 2023 and 2024. For now, our positive euro-dollar relative growth differential outlook holds, but recent euro data ha...
Aug 14, 2023•16 min
Latin America central banks continue to focus on inflation, yet fiscal deficits remain elevated and growth is in decline. In this month’s EM Lens & Look-Through podcast episode, Fernando Losada, Managing Director and Head of Latin America Sovereign Research at Oppenheimer, joins Bloomberg Intelligence’s Chief EM Fixed Income Strategist Damian Sassower to deliver his outlook on Latin American debt markets, with a focus on Central America and the Caribbean. From tourist inflows and remittances...
Aug 11, 2023•28 min
Spreads of mortgage-backed securities may remain wide, though net and gross supply could remain depressed given interest rate and housing market dynamics, Bloomberg Intelligence’s Chief MBS Strategist Erica Adelberg says. Adelberg joins Macro Matters podcast host and BI’s Chief US Interest Rate Strategist Ira Jersey to share her view on relative value within the mortgage markets, compare MBS to corporate bonds and discuss how recent bank regulations may affect mortgage demand. You can access mor...
Aug 10, 2023•19 min
The red-hot credit rally leaves debt markets vulnerable ahead of historically-worst months, Bloomberg Intelligence Global Credit Strategy head Noel Hebert, distressed credit analyst Philip Brendel and bankruptcy litigation analyst Negisa Balluku say on this month’s edition of the State of Distressed Debt podcast. Guest Ralph Brubaker, the James H.M. Sprayregen Professor of Law at the University of Illinois College of Law, joins Balluku for an in-depth feature interview on corporate tortfeasors’ ...
Aug 07, 2023•1 hr 9 min
The Bank of England stepped down the pace of tightening as it closes in on the peak but isn't quite yet done and remains highly data dependent. In this edition of the All Options Considered podcast, BI's Chief Global Derivatives Strategist Tanvir Sandhu is joined by Dan Hanson, Bloomberg Senior UK Economist.
Aug 04, 2023•14 min
The re-risking with the market being chased higher has crushed equity volatility while the skew in rates at the back of the curve is toward higher yields. In this edition of the All Options Considered podcast on volatility, BI's Chief Global Derivatives Strategist Tanvir Sandhu is joined by Nancy Davis, Founder of Quadratic Capital Management. Discussion points include key themes from the rates and equity volatility markets. Find out more about Quadratic Capital Management here: http://www.ivole...
Jul 31, 2023•17 min
The Federal Reserve may remain on hold for the rest of the year as inflation should moderate, Chief US Economist for Bloomberg Economics Anna Wong says on this Macro Matter’s edition of the FICC Focus Podcast. Wong joins host Ira Jersey, Chief US Interest Rate Strategist for Bloomberg Intelligence, to discuss her view on the economy and future Fed policy. Jersey mentions some investors are concerned about a reacceleration of inflation, to which Wong handicaps the possibility, but notes even if i...
Jul 27, 2023•22 min
Asset-based finance has moved nearer center stage in the fast growing private credit market, competing with corporate direct lending for attention. Castlelake’s Co-CEO and Chief Investment Officer Evan Carruthers joins hosts Noel Hebert, Bloomberg Intelligence’s director of FICC research, and Sam Geier, senior credit strategy associate, on this Credit Crunch podcast episode to talk about the current landscape and opportunity amid uncertainty. Turbulence in aviation finance and innovation in cons...
Jul 25, 2023•57 min
Green shoots are forming in emerging market debt as growth slows, inflation eases and the geopolitical climate turns more market friendly. In this month’s EM Lens & Look-Through podcast, Ilke Pienaar, Head of Emerging Market Fixed Income Sovereign Research at PineBridge Investments, joins Chief EM Fixed Income Strategist Damian Sassower to deliver her mid-year outlook on EM credit. She discusses the firm's key convictions across EM, with Asia high yield exhibiting improved fundamentals and a...
Jul 21, 2023•20 min
BI global credit strategy head Noel Hebert, distressed credit analyst Philip Brendel and bankruptcy litigation analyst Negisa Balluku discuss how credit markets are "melting up" with equities, but that it may be fleeting. Noel and Phil also have an in-depth feature interview with John Pavelski, co-head of North America for the Carlyle Credit Opportunities Fund, on the possibilities created as the private credit market weathers a distressed cycle (10:30). Finally, Negisa, Noel and Phil discuss th...
Jul 19, 2023•1 hr 39 min
The landscape for municipal asset management has been changing over the past year, and there’s been lower beta options such as exchange traded funds and separately managed accounts. For those looking to expand or break into this space, scaling the business is the single largest pain point. Investortools’ Senior Vice President James Morris joins Bloomberg Intelligence’s Eric Kazatsky and Karen Altamirano on this episode of the Masters of the Muniverse podcast to discuss this challenge and highlig...
Jul 18, 2023•48 min
The Fed's nearing rate peak and evidence of a turning US economy should revive the bearish view of the US dollar in 2H. In our latest FX Moment podcast, host Audrey Childe-Freeman, Bloomberg Intelligence's chief G10 FX strategist, examines the outlook for the US and global economies and the implications for currencies with Solita Marcelli, chief investment officer Americas, UBS Global Wealth Management. In particular, Solita and Audrey acknowledge that beyond a structurally dollar-negative case ...
Jul 13, 2023•21 min
European high yield has had just two defaults this year and the proportion of stressed and distressed bonds is under control after a positive 1H for returns. Will 3Q sustain the 1H gains and when do we see a default wave, if any? Listen to hear Mahesh Bhimalingam, Chief European Credit Strategist, Bloomberg Intelligence discuss the results of the 3Q23 High Yield Survey and comment on the market outlook and trends in a Q&A format with George Flynn, Head of Credit at Wisealpha Technologies. Th...
Jul 11, 2023•35 min
The Treasury yield curve may remain inverted for quite a while, but bull steepening could begin as the Federal Reserve finished its interest rate hikes, Bloomberg Intelligence’s Chief US Interest Rate Strategist says in this Macro Matter’s edition of the FICC Focus podcast. Jersey provides his short- and longer-term view of the rate markets, mentioning how the real federal funds rate may peak at about 2.5% if consensus inflation estimates and market pricing are realized. Jersey is also joined by...
Jul 07, 2023•15 min