Show notes
Patryk Carwinski is joined by Kevin Ziets from Muzinich & Co. in this episode of The Portfolio Fix, where they unpack the outlook for high yield public corporate debt. The conversation covers important market trends, return expectations for 2025, and the potential impact of evolving policies. They also compare high yield bonds and bank loans, along with exploring issuance trends and the key metrics that could shape returns in the high yield market. This episode was recorded on February 26...

