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Our views 25 April 2025

Crunching credit podcast – April 2025

7 mins

In our latest Crunching credit podcast we discuss recent bond market performance as volatility persisted throughout March due to growing concerns over the potential impact of global trade tariffs. This resulted in a government bond rally and wider credit spreads.

We also look at the interesting company stories the team has uncovered across different industries, including a global chemical business and a French healthcare company.

Stephen Tapley, Senior Fund Manager at Royal London Asset Management, discusses these points and more with Ewan McAlpine, Investment Director, as they look at some of the key themes impacting global credit markets.

 

Recorded: 10 April 2025
Duration: 7 mins

 

The value of investments and the income from them may go down as well as up and is not guaranteed. Investors may not get back the amount invested. The views expressed are those of the speaker at the date of publication unless otherwise indicated, which are subject to change, and is not investment advice.