Duration: 1 hour
Credit Market Opportunities and Risk Considerations in 2023
After a year of extreme interest rate moves in 2022, institutional investors are evaluating interest rate sensitivity, while lenders and borrowers alike are becoming more cautious. The global credit markets can provide active investors with a source of return potential and diversification, especially in the current market environment, but this does not come without risk. The aggressive fluctuation we have seen across the interest rate environment prompted the question: where can investors source new opportunities, and what are the risk considerations across public and private credit markets?
During this 60-minute webinar, our experts from across New York Life Investments, namely Apogem Capital, Kartesia, and MacKay Shields, explored the present macroeconomic environment and dove deep into the near-term opportunities and risks created by the ongoing market volatility.
Economist & Director of Portfolio Strategy,
New York Life Investments Multi-Asset
Chief Credit Officer,
Managing Partner (Founding Partner),
Joseph A. Maietta, CFA
Client Portfolio Manager,
MacKay Shields, High Yield Team