Bruce Monrad discusses post-election developments and how they might impact the fixed income market.
For more of Bruce’s insights, read our 2021 High Yield Market Outlook.
Two Things That Might Surprise Credit Markets (1:55)
Bruce discusses the Fed balance sheet and market complacency about the potential for sovereign and muni rating downgrades.
Rising Interest Rates – Cause and Effect (2:12)
Bruce Monrad explains the causes and effect of the 10-year Treasury’s post-election rise.
Election Implications for Credit and High Yield (1:12)
Bruce Monrad explains how more stimulus and government spending might actually be good for credit and high yield.
Inflation’s Impact on High Yield? (1:29)
Portfolio Manager Bruce Monrad discusses the potential impact of inflation on high yield bonds.