A growing middle class is fuelling demand for insurance products and services across emerging markets, presenting significant opportunities for credit investors, as Muzinich & Co. explains.
The US private credit market is getting increased attention – not all of it favourable. Muzinich & Co. explains why understanding the nuances is essential for investors considering an allocation to the...
An improving macro picture and less election noise could provide a tailwind for emerging market corporate bonds for the rest of 2024, says Muzinich & Co.
In this podcast, Muzinich & Co. look at the potential scenarios for France to break the deadlock of a hung parliament and explain why investors should care.
With fears of an economic hard landing abating and rates expected to stay higher for longer, can a greater allocation to high yield boost multi-asset credit returns?
With interest rate volatility likely to continue, Muzinich & Co explains how investors can insulate their credit exposure while potentially generating compelling returns via an allocation to short-duration...