Macro Talking Points

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This financial report provides insights into key macroeconomic trends impacting fixed income markets, with a focus on US inflation, European investment-grade (IG) credit, and currency dynamics. 

  • US inflation remains volatile, with seasonal factors distorting recent data, casting uncertainty over future Federal Reserve rate cuts.  
  • European IG credit fundamentals remain strong despite a challenging macroeconomic environment, while high-yield (HY) credit appears more vulnerable.  
  • The US dollar remains near historic highs, driven by strong economic performance and trade policies, posing challenges for non-USD assets.  

For a deeper analysis, access the full report.

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