FICC Focus – Détails, épisodes et analyse

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Podcast FICC Focus

FICC Focus

Bloomberg Intelligence

Business & Entrepreneuriat

Fréquence : 1 épisode/3j. Total Éps: 571

Hosting podcast Megaphone
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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VIX at 65, MOVE Above 100: All Options Considered

vendredi 30 août 2024Durée 07:49

In this edition of the All Options Considered podcast, BI's Chief Global Derivatives Strategist Tanvir Sandhu covers the VIX at 65 being due to market technicals and unreflective of fundamentals, as well as the support for rates volatility from uncertainty around the pace and extent that policy rates decline rather than the direction of travel, which is clear cut.

Schroders’ Graham Seeks Alpha in EM Corporate Credit: EM Lens

jeudi 29 août 2024Durée 27:52

Emerging Market corporate and quasi-sovereign debt is outperforming the broader EM sovereign-credit complex, as the asset class returns to favor following years of below-average bond issuance. In this month’s EM Lens & Look-Through podcast, Emerging Market Portfolio Manager at Schroders Autumn Graham joins Bloomberg Intelligence’s Damian Sassower, chief EM credit strategist, to discuss the risk-return tradeoff in EM corporate credit. Graham and Sassower touch on issuer fundamentals, market depth, foreign positioning, geopolitical risk and the impact of deglobalization. This podcast is part of BI’s FICC Focus series.

Systematic Credit Growth Seen by Insight’s Benson: Credit Crunch

lundi 29 juillet 2024Durée 01:05:53

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 episode of Credit Crunch. Credit Crunch is part of the FICC Focus podcast series.

Oaktree's Panossian on Compelling Credit Options: Credit Crunch

mardi 31 octobre 2023Durée 01:06:15

“There's not enough private credit capital relative to private equity demand,” Armen Panossian, managing director, head of performing credit and incoming co-CEO for Oaktree Capital Management says. Panossian joins Bloomberg Intelligence's Noel Hebert and Sam Geier on this Credit Crunch episode of the podcast FICC Focus podcast series for an in-depth discussion about private-credit growth, the high-yield opportunity, expected impacts from a prospective economic slowdown and more.

TCW’s Whalen on Strategy for a ‘Not Soft Landing’: Credit Crunch

vendredi 27 octobre 2023Durée 50:02

“There’s always an opportunity at the issuer level in leveraged finance,” Bryan Whalen, co-chief investment officer and a generalist portfolio manager for TCW’s fixed income group says. Whalen joins Bloomberg Intelligence’s Noel Hebert and Sam Geier on this episode of the Credit Crunch podcast to discuss positioning for economic turbulence across core-plus and high yield, the value proposition in mortgage-backed securities and why corporate credit spreads look tight.

Taper With No Tantrum as Tighter Conditions Take Hold: EM Lens

mercredi 25 octobre 2023Durée 24:57

Emerging market risk premia is on the rise, as higher geopolitical risk amplifies the impact from tighter financial conditions. In this month’s EM Lens & Look-Through podcast, JPMorgan Managing Director of EM Fixed Income Strategy Saad Siddiqui joins Chief EM Fixed Income Strategist Damian Sassower to deliver his outlook on emerging market interest rates and foreign exchange. From the selloff in US Treasuries to rising oil prices and China's struggling economic recovery, we discuss the opportunities and risks facing EM investors.

Growing a Fledgling Fund Amid Muni Chaos: Masters of the Muniverse

jeudi 19 octobre 2023Durée 44:29

Rates are higher (for longer, if we’re being honest), the curve is pancaking and, once again, fixed-income losses will be headline fodder. However, with every tick higher in benchmark yields, municipals get an opportunity that many in the asset class won’t see in a career. For those investors focused on building an income stream and less on immediate statement marks, munis are becoming the must-have accessory for this fall season.  James Pruskowski, chief investment officer and head of the Global Client Business at 16Rock asset management, joins Eric Kazatsky and Karen Altamirano this month to discuss the latest run-up in rates, the macro headwinds buffeting the market and what technological change in munis may look like.

Rise of Zero-Day Options With CBOE: All Options Considered

lundi 16 octobre 2023Durée 18:13

In this edition of the All Options Considered podcast, BI's Chief Global Derivatives Strategist Tanvir Sandhu is joined by Mandy Xu, Head of Derivatives Market Intelligence at CBOE. They address concerns over zero-days-to-expiry options (0DTEs), the typical users and common strategies traded. Other topics include the lack of reactivity of the VIX to market declines and dispersion trading.

PGIM’s Robert Tipp on Global Bond Markets: Macro Matters

jeudi 12 octobre 2023Durée 24:10

“There’s no hope on the [US federal] deficit front,” says Robert Tipp, PGIM’s Chief Investment Strategist and head of global bonds on this 200th edition of the Bloomberg Intelligence FICC Focus Podcast. Tipp joins host Ira Jersey, Bloomberg Intelligence’s chief US interest rate strategist on this Macro Matters episode to discuss the state of the global rates markets, including Tipp’s view on the near term and more secular drivers of Treasury yields and the Federal Reserve’s policy. Tipp sees the longer-term bull market in rates coming to an end, and looks for the Fed’s policy-rate terminal floor to be at or above 3%. Importantly, he also views deficits as being detrimental to the Treasury market, but sees opportunity for investors to benefit from being in corporate credit as the Fed’s hiking cycle ends.  In the Interest Rate Intro segment of the podcast, US interest rate strategy associate Will Hoffman asks Jersey about financial conditions and how tightening feeds into the Fed’s near-term interest rate action.

High Yield 4Q23 Investor Survey and Outlook: Credit Crunch

mardi 10 octobre 2023Durée 50:00

High yield had a great year in terms of returns in both US and Europe. In Europe, we saw just two index defaults this year and the proportion of stressed and distressed bonds is under control while its surged in the US. Will 4Q sustain this year's gains, and when do we see a default wave, if any? Listen to Mahesh Bhimalingam, Bloomberg Intelligence's Chief European Credit Strategist, discuss the results of the 4Q23 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. They discuss our 4Q23 investor survey publication, covering investor positioning, sentiment, key return drivers, default and supply forecasts and relative-value opinions by geography, rating and sector in detail.

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