Recession risks and rising rates have lifted yields on high yield bonds, so are these concerns now largely priced in?
Global Perspectives Podcast: The High Is Back in High Yield
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Recession risks and rising rates have lifted yields on high yield bonds, so are these concerns now largely priced in?
Rates uncertainty and market volatility remain in focus for investors in credit as central banks move more aggressively on their tightening path.
The Bank of England’s May meeting has stoked recession and stagflation risks, and a more measured approach to tightening.
How is the Russia/Ukraine conflict driving European energy policy and investor opportunity?
Recession risks and rising rates have lifted yields on high yield bonds so are these concerns now largely priced in?
Tal Lomnitzer discusses the strong demand for resources and the diversification merits of a long-term allocation to the asset class.
The Bank of England’s May meeting has stoked recession and stagflation risks, and a more measured approach to tightening.
Recession risks and rising rates have lifted yields on high yield bonds so are these concerns now largely priced in?
How is the Russia/Ukraine conflict driving European energy policy and investor opportunity?
In this interview, Doug Rao, US equities portfolio manager, discusses the key themes that investors should be aware of in a changing market environment.