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Gerard Carney
Phone: 917.703.6368
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February 16, 2022

Macro Markets Podcast: Episode #7

An update on the investment grade corporate bond market in the wake of the latest CPI inflation data and the expected removal of monetary policy accommodation. Featuring Justin Takata, Managing Director and Head of Investment Grade Corporate Credit Sector Team, and Paul Dozier, Director in the Macroeconomic and Research Group.

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February 03, 2022

Macro Markets Podcast: Episode #6

Floating rate assets and credit should perform well as monetary policy changes course. Featuring Matt Bush, U.S. economist and a managing director in our Macroeconomic and Investment Research  Group; Adam Bloch, portfolio manager and one of the leaders of our Total Return team; and Karthik Narayanan, managing director and head of Guggenheim’s Structured Credit Team.

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January 19, 2022

Macro Markets Podcast: Episode #5

Topics include an economic update with a focus on inflation data, a report on the yield curve and rates, and a discussion of sustainable infrastructure. 

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December 15, 2021

Macro Markets Podcast: Episode #4

Discussion of the economic and market backdrop to today’s Fed decision, and themes for next year. Featuring Assistant Chief Investment Officer Steve Brown and Chief Economist Brian Smedley.

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December 08, 2021

A Decade of Delivering: Guggenheim’s Fixed-Income Mutual Funds Reach 10-Year Anniversary

Guggenheim Investments, the global asset management and investment advisory business of Guggenheim Partners, is pleased to announce that three of its flagship fixed-income mutual funds, Guggenheim Macro Opportunities Fund (GIOIX), Guggenheim Total Return Bond Fund (GIBIX), and Guggenheim Floating Rate Strategies Fund (GIFIX), reached their 10-year track records.

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November 19, 2021

Guggenheim Fourth Quarter 2021 High-Yield and Bank Loan Outlook: Looking at Yields in High-Yield Credit

Guggenheim Investments, the global asset management and investment advisory business of Guggenheim Partners, today provided its Fourth Quarter 2021 High-Yield and Bank Loan Outlook. Titled “Are High-Yield Markets Misjudging Evergrande Risk?,” the report explains why investors may be too sanguine about the Chinese government’s ability to successfully manage the unwinding of Evergrande debt.

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September 29, 2021

Confessions of an Active Fixed-Income Manager: Risk and Relative Value

Anne Walsh, Chief Investment Officer for Fixed Income, joins Asset TV to discuss the benefits of active management during this challenging market environment, and relative value in fixed-income sectors.

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April 01, 2021

Guggenheim Investments Announces Internal Executive Promotions

Guggenheim Investments, the global asset management and investment advisory business of Guggenheim Partners, is pleased to announce the appointment of Dina DiLorenzo and David Rone, as Co-Presidents of Guggenheim Investments.

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March 24, 2021

Guggenheim Investments' Anne Walsh Named to Barron’s 100 Most Influential Women in U.S. Finance List for Second Year in Row

Barron’s magazine has once again recognized Anne Walsh, Guggenheim Investments CIO for Fixed Income, as one of the “100 Most Influential Women in U.S. Finance.”

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March 03, 2021

Guggenheim Investments Ranked as Barron’s Best Taxable Fixed-Income Fund Family

Guggenheim Investments, the global asset management and Investment advisory business of Guggenheim Partners, has been ranked as Barron’s top taxable fixed-income mutual fund family of 2020, out of 53 companies.

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