With central bank policy in flux and conflicting economic data, Tom Ross, Corporate Credit Portfolio Manager, takes a look at the market conditions facing investors in European high yield bonds. Questions covered include:
- Could Europe’s economy and credit markets surprise on the upside?
- Are the technical conditions supportive for high yield?
- Are potential downgrades from the BBB rated sector a concern?
- Does the Fed and ECB dovish pivot make high yield more attractive?
Filmed March 2019
These are the views of the author at the time of publication and may differ from the views of other individuals/teams at Janus Henderson Investors. Any securities, funds, sectors and indices mentioned within this article do not constitute or form part of any offer or solicitation to buy or sell them.
Past performance is not a guide to future performance. The value of an investment and the income from it can fall as well as rise and you may not get back the amount originally invested.
The information in this article does not qualify as an investment recommendation.
For promotional purposes.
Please read the following important information regarding funds related to this article.