• Fixed Income Explained

  • De: abrdn
  • Podcast

Fixed Income Explained

De: abrdn
  • Resumen

  • Peter Marsland, Investment Specialist, hosts our Fixed Income Explained Podcast which is aimed at providing you with insights of how current market conditions are affecting Fixed Income markets. We will host a discussion with various senior members across the investment desks and special guests, who will touch on what the outlook is like for their specialist fund or asset class.

    © 2024 Fixed Income Explained
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Episodios
  • The Credit Special
    May 15 2024

    Corporate bonds are back in favour, and the time is ripe for a Fixed Income Explained Podcast Credit Special. What are the factors driving markets? Where can investors find value right now? What’s the outlook for the remainder of 2024? And are there any risks on the horizon?

    Fixed Income Explained host Peter Marsland returns to tackle all these questions and more, with the help of an array of abrdn corporate bond experts.

    Listen in as Peter chats with credit colleagues Siddharth Dahiya, Ben Pakenham, and Louise Smith, in a conversation spanning investment grade corporates, European high yield and emerging market debt.

    If you would like to subscribe to our Fixed Income Newsletter click here.

    If you would like to listen to the previous episode of Fixed Income Explained Podcast click here.

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    37 m
  • Addressing Uncertainty: What's on the other side?
    Dec 18 2023

    The latest episode wrapping up the "Addressing Uncertainty" trilogy for 2023. Join Peter, our host and Fixed Income investment specialist at abrdn, as he discusses the current economic landscape with Paul Diggle, Chief Economist, Mark Munro, Investment Director focused on credit strategies, and Andrew Stanners, Investment Director specialising in emerging market debt.

    In this episode, the experts analyse the recent actions of the Federal Reserve, the Bank of England, and the European Central Bank, indicating a potential end to rate hikes. The focus shifts to what lies ahead for fixed income investors in 2024 and beyond. The discussion covers macroeconomic views, the potential for rate cuts, and the implications for developed market credit markets, including investment grade and high yield bonds. The conversation expands to include emerging markets, exploring the prospects of rate hikes, rate cuts, and the overall environment.

    Tune in for valuable insights into the potential economic scenarios, risks, and opportunities in the fixed income landscape. Subscribe to our Fixed Income Explained Podcast for in-depth discussions on the ever-evolving world of fixed income.

    If you would like to subscribe to our Fixed Income Newsletter click here.

    If you would like to listen to the previous episode of Fixed Income Explained Podcast click here.

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    35 m
  • Addressing Uncertainty: The Optimistic Zone
    Sep 27 2023

    Hard landing, soft landing - or even no landing at all? What do these possible economic scenarios mean for bond investors? Fixed Income Explained Host Peter Marsland returns to tackle these conundrums in the latest episode of our regular podcast.

    Listen in as Peter chats with fixed income colleagues Max Macmillan, George Westervelt and Kathy Collins about their views on likely economic outcomes and their thoughts on asset allocation.

    Are bond investors in the optimistic zone? Find out now.

    If you would like to subscribe to our Fixed Income Newsletter click here.

    If you would like to listen to the previous episode of Fixed Income Explained Podcast click here.

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    29 m

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