Guggenheim Investments

Guggenheim Macro Markets

News EN ↓ 89 episodes

Tune in to Macro Markets to hear the top minds of Guggenheim Investments offer timely analysis on financial market trends. Guests include portfolio managers, fixed income sector heads, members of the Macroeconomic and Investment Research Group, and more.

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Guggenheim Investments

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News

Latest episode

Jul 9, 2026

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Episodes

Episode 88: Halftime Analysis for Investors: Macro Themes and Market Drivers for 2H2026 and Beyond: 09.07.2026

War, oil spikes, and a transition at the Federal Reserve contributed to a volatile first half of 2026, but the relative calm at the year’s mid-point is an opportune time to examine some of the forces that could drive markets in the coming quarters. U.S. Economist Matt Bush and Market Strategist Maria Giraldo join Macro Markets to discuss the investment implications of our latest Quarterly Macro Th...

Episode 87: The Complexity Premium in Structured Credit: The Opportunity Set Today (Part 2) 11.06.2026

Investors today are navigating a set of complex macroeconomic, geopolitical, and market forces. Whatever the market conditions, Guggenheim Investments leans in to structured credit as an important allocation in most of our fixed-income strategies. In Part 2 of this episode, Karthik Narayanan, Head of Structured Credit, joins Macro Markets to discuss where we are finding value and risk in today’s m...

Episode 87: The Complexity Premium in Structured Credit: Fundamentals and Absolute/Relative Value (Part 1) 11.06.2026

Investors today are navigating a set of complex macroeconomic, geopolitical, and market forces. Whatever the market conditions, Guggenheim Investments leans in to structured credit as an important allocation in most of our fixed-income strategies. In Part 1 of this episode, Karthik Narayanan, Head of Structured Credit, joins Macro Markets to discuss the fundamental appeal of the sector and its rel...

Episode 86: Portfolio Strategy as Oil Stays Elevated and ‘Regime Change’ Comes to the Fed 04.05.2026

The Federal Reserve held rates steady last week, as expected, but the backdrop is anything but routine. Portfolio Manager Adam Bloch and Head of Macroeconomic Research and Market Strategy Patricia Zobel join Macro Markets to share insights on a range of market issues, including the FOMC decision, inflation and the possible path of oil prices, private credit volatility, and market opportunities and...

Episode 85: Corporate Credit Standing Strong After a Volatile Q1 29.04.2026

What is next for corporate credit—investment-grade and high yield corporate bonds and leveraged loans—after a volatile first quarter? Credit fundamentals were sound coming into 2026, and while the U.S. economy has shown resilience, the path of energy prices and geopolitical risk continues to stay elevated. Tom Hauser, Head of Corporate Credit, and Dan Montegari, Head of Research for Corporate Cred...

Episode 84: The Real Assets Investment Proposition 15.04.2026

Investors look to physical infrastructure assets to potentially provide steady cash flow, inflation protection, portfolio diversification, and resiliency through economic cycles. In this episode of Macro Markets, John Tanyeri, head of our Real Assets group, explores the powerful secular and geopolitical forces shaping the landscape, and identifies where we’re finding compelling relative value amid...

Episode 83: Geopolitical Risk Rears Its Head 30.03.2026

The war in Iran and spike in oil prices have threatened the generally strong U.S. economy and elevated volatility in the markets. In this episode of Macro Markets, Portfolio Manager Evan Serdensky and U.S. Economist Matt Bush discuss our outlook and portfolio strategy in this environment, and provide insights from our latest Quarterly Macro Themes publication. Related Content: 1Q 2026 Quarterly Ma...

Episode 82: The Next Test for Equities? 16.03.2026

Equity markets have shown remarkable resilience through chaotic trade policies, the rise of AI, and now a war in the Middle East. But with the Iran conflict continuing to unfold, oil at elevated levels, and volatility spiking, that resilience could face a tough test. Equity Strategist Michael Schwager and Equity Product Strategist Ryan Sundby join Macro Markets to discuss market opportunities and...

Episode 81: AI’s Macro and Market Impact: A Framework for Investors 27.02.2026

U.S. Economist Matt Bush and Market Strategist Maria Giraldo join the latest episode of Macro Markets to discuss insights from our new white paper, “AI’s Promise and History’s Lessons.” They explore how artificial intelligence is driving innovation and long-term productivity gains, even as it creates short-term disruptions in labor markets and deepens economic divides. Learn how investors can posi...

Episode 80: Fixed-Income Outlook: Sunny with a Chance of Tail Risks 13.02.2026

Steve Brown, Chief Investment Officer for Fixed Income, joins Macro Markets to review current market conditions for bonds and discuss our economic outlook and portfolio strategy for the coming year. He shares his views on the incoming Federal Reserve chair, opportunities in credit and structured products, and the impact of artificial intelligence on markets and the economy. Related Content : AI’s...

Episode 79: 10 Macro Themes Driving Markets in 2026 20.01.2026

Patricia Zobel, Head of Macroeconomic Research and Market Strategy, joins Macro Markets to discuss our newly published report, “10 Macro Themes for 2026". From steady but slow growth and disinflation to AI-driven infrastructure investment and intensifying competition, these dynamics create a complex opportunity set favoring active management in fixed-income markets. Related Content: 10 Macro Theme...

Episode 78: The Investing Outlook for 2026 19.12.2025

Anne Walsh, CIO of Guggenheim Partners Investment Management, joins Macro Markets to discuss portfolio strategy within the context of our 2026 outlook for growth, inflation, monetary policy, private credit, and the impact of AI on markets and the economy. In this complex landscape, she makes the case for why she believes now is not a time for sitting on the sidelines. Related Content: The Risk Mit...

Episode 77: Agency MBS: From Zero to Hero 18.11.2025

For two decades, we typically looked past Agency mortgage-backed securities (MBS) to find better relative value opportunities in the non-government sponsored credit markets. But something fundamental changed, and over the past three years these securities have claimed an increasingly significant allocation in our total return strategies. What sparked this pivot? Portfolio Manager Adam Bloch and Lo...

Episode 76: Why and Where (and How) to Invest in Asset-Backed Finance 04.11.2025

Asset-backed investments have typically traded at higher yields and wider spreads than comparably rated corporate securities. Karthik Narayanan, Head of Structured Credit, explains why this relative value opportunity exists and where he sees value across asset-backed securities, collateralized loan obligations, and residential and commercial mortgage-backed securities. He also offers insights into...

Episode 75: Can U.S. Equities Sustain Their Momentum? 15.10.2025

The stock market continues to power ahead even as the labor market shows signs of weakening and inflation pressures mount. Michael Schwager, Equity Strategist, and Ryan Sundby, Equity Product Specialist, join Macro Markets to discuss forces driving the gains, why the rally might have room to run, and the relative value of blue chip stocks in this environment. Related Content: Fourth Quarter 2025 F...

Episode 74: Fed Easing Resumes, Adding Tailwinds and Volatility to the Outlook 23.09.2025

The Federal Reserve resumed rate cuts at its September meeting, gauging that risks to the labor market currently outweigh inflation risks. Mixed signals from the fixed-income and equity markets reflect the uncertain and complex outlook. Tune in as Matt Bush, our U.S. economist, and Evan Serdensky, portfolio manager on our Total Return team, cut through the noise, update our macroeconomic outlook,...

Episode 73: Gamechanger: Post-FOMC & Jobs Data Analysis and Outlook 05.08.2025

Steve Brown and Patricia Zobel join Macro Markets to offer their analysis on the complex forces shaping our economic outlook and portfolio strategy. Related Content: Third Quarter 2025 Fixed-Income Sector Views Relative value across the fixed-income market. Read 3Q25 Fixed Income Sector Views Macro Markets Episode 72: Credit Cycle Check-In Tom Hauser, Head of Corporate Credit, and Dan Montegari, H...

Episode 72: Credit Cycle Check-In 22.07.2025

Tom Hauser, Head of Corporate Credit, and Dan Montegari, Head of Research for Corporate Credit, join Macro Markets to discuss credit quality and market technicals at this point in the credit cycle, as well as what is driving the divergence between the high yield and bank loan sectors. Find out how tariffs and A.I. factor into our bottom-up credit analysis, and where to find value in a time of mark...

Episode 71: Midyear Outlook—Taking and Avoiding Risk in a Volatile Market and Uncertain World 01.07.2025

Anne Walsh, Chief Investment Officer of Guggenheim Partners Investment Management, joins Macro Markets for a look back at the first half of 2025 and shares her outlook on the economy, rates, fiscal policy, monetary policy, and relative value. As we head into the second half of the year, the best approach to navigating the noise of market volatility is to stay focused on the long-term signals, whic...

Episode 70: The Real Opportunity in Real Assets 18.06.2025

What is the investment proposition of ‘real assets’? John Tanyeri, Head of Guggenheim Investments’ Real Assets Group, and Matt Lindland, Head of Structured Products, join Macro Markets to review the spectrum of investments in the asset class—like infrastructure, commercial real estate, and securitized cash flows from hard assets—and their place in a diversified portfolio. They also discuss how tre...

Episode 69: Investing for Insurance Companies: Prepare for the Worst and Expect the Best 19.05.2025

Jamie Crapanzano of our insurance portfolio management team and Ann Bryant of our insurance strategy team join Macro Markets to discuss issues and trends in fixed-income markets—those that apply to all investors as well as those that are specific to the industry.   Related Content: Second Quarter 2025 Fixed-Income Sector Views Relative value across the fixed-income market. Read Second Quarter...

Episode 68: Private Debt Update: Don’t Shy Away from Volatility 02.05.2025

Joe McCurdy and Rusty Parks join Macro Markets to review the drivers of value in the $1.7 trillion private debt market and how today’s market uncertainty can lead to investment opportunities Related Content: Second Quarter 2025 Fixed-Income Sector Views Relative value across the fixed-income market. Read Second Quarter 2025 Fixed-Income Sector Views Notes on Tariff Turbulence Update on our macro a...

Episode 67: Outlook and Strategy After the Tariff Gray Swan 15.04.2025

Steve Brown, CIO for Fixed Income, and Patricia Zobel, Head of Macroeconomic Research and Market Strategy, join Macro Markets to review the tariff-related paradigm shift in trade policy, and update our macro outlook, risk assessment, and portfolio strategy as the market volatility unfolds. Related Content: Notes on Tariff Turbulence Update on our macro and market outlook following announcement of...

Episode 66: Asset-Backed Finance: The Evolution of a Portfolio Mainstay 27.03.2025

Karthik Narayanan joins Macro Markets to discuss the evolution of asset-backed finance, the role it plays in a diversified fixed-income portfolio, and current market dynamics and opportunities. Related Content: Don’t Let Policy Volatility Overshadow Market Opportunity Long-term signals are positive for fixed income. Read CIO Outlook 1Q 2025 High Yield and Bank Loan Outlook Reframing tight spreads...

Episode 65: Macro and Micro Views on Credit Opportunities in a Shifting Economy 10.03.2025

Strong fundamentals and positive market technicals should support credit performance in an environment characterized by high nominal yields, tight spreads, and elevated policy uncertainty. Maria Giraldo and Rebecca Elkins join Macro Markets to provide top down and bottom up perspectives on opportunity in the high yield and bank loan market. Related Insights: 1Q 2025 High Yield and Bank Loan Outloo...

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