For the latest in our quarterly series of updates on the global fixed income market, LGIM’s Head of Euro Credit Marc Rovers gives us a detailed briefing on where the European debt market is, and where it may be heading.
In a broad-ranging discussion, we cover what lay behind the late summer’s sporadic spikes in volatility, potential European spillover effects from the US election, why bond issuance is running at an all-time high – and much more.
This episode is hosted by Andrew Lowry, European Content Manager.
For professional investors only. Capital at risk.
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