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Description

In this episode, newly appointed Fixed Income Portfolio Manager at Mawer, Brian Carney, shares his insights on global credit strategies. With over 30 years of experience in the investment industry, Brian discusses his career journey, the evolution of credit markets, and his perspectives on current market dynamics. He highlights Mawer's approach to managing credit risks and opportunities, detailing the new Global Credit Opportunity Strategy at Mawer.

 

 

Key Points From This Episode:

 

Brian Carney's extensive background in finance and credit markets

 

The evolution and current state of global credit markets

 

Introduction of Mawer's Global Credit Opportunity Strategy

 

Approaches to managing risks and capitalizing on opportunities in credit

 

Insights on fixed income strategies and market dislocations

 

Mawer's unique position and strategies in the investment landscape

 

Links:

Mawer Investment Management