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In the Media

Guggenheim investment professionals regularly appear in leading financial TV, print and electronic media outlets, including Financial Times, Barron’s, Forbes, Bloomberg, CNBC, and Fox Business News.


June 18, 2025

Macro Markets Podcast Episode 70: The Real Opportunity in Real Assets 

John Tanyeri, Head of Real Assets and Originations, and Matt Lindland, Head of Structured Products, join Macro Markets to review the spectrum of investments in real assets and their place in a diversified portfolio.

May 19, 2025

Macro Markets Podcast Episode 69: Investing for Insurance Companies: Prepare for the Worst and Expect the Best  

Jamie Crapanzano of our insurance portfolio management team and Ann Bryant of our insurance strategy team join Macro Markets to discuss issues and trends in fixed-income markets—those that apply to all investors as well as those that are specific to the industry.  

May 09, 2025

Investing Discipline and Client Education Are Key to Navigating Volatility

Dina DiLorenzo, President of Guggenheim Investments, joins Bloomberg TV at the Milken Institute Global Conference to discuss asset management business strategy.

May 09, 2025

Attractive Opportunities in Credit Despite Fiscal Policy Volatility 

Anne Walsh, CIO of Guggenheim Partners Investment Management, talks to Bloomberg TV at the Milken Institute Global Conference about trade, tariffs, taxes, and the future direction of monetary policy.

May 02, 2025

Macro Markets Podcast Episode 68: Private Debt Update: Don’t Shy Away from Volatility

Joe McCurdy and Rusty Parks join Macro Markets to review the drivers of value in the $1.7 trillion private debt market and how today’s market uncertainty can lead to investment opportunities.

April 15, 2025

Macro Markets Podcast Episode 67: Outlook and Strategy After the Tariff Gray Swan

Steve Brown, CIO for Fixed Income, and Patricia Zobel, Head of Macroeconomic Research and Market Strategy, join Macro Markets to review the tariff-related paradigm shift in trade policy.

March 27, 2025

Macro Markets Podcast Episode 66: Asset-Backed Finance: The Evolution of a Portfolio Mainstay 

Karthik Narayanan, Head of Structured Credit, joins Macro Markets to discuss the evolution of asset-backed finance, the role it plays in a diversified fixed-income portfolio, and current market dynamics and opportunities.
 

March 10, 2025

Macro Markets Podcast Episode 65: Macro and Micro Views on Credit Opportunities in a Shifting Economy 

Maria Giraldo and Rebecca Elkins join Macro Markets to provide top down and bottom up perspectives on opportunity in the high yield and bank loan market. 

February 24, 2025

Macro Markets Podcast Episode 64: The SMA Advantage—Institutional Strategies for Individual Investors 

Adam Bloch discusses separately managed accounts (SMAs), a structure that offers many potential benefits to individual investors. Bloch also shares his views on growth, inflation, and relative value in the market.

February 04, 2025

Macro Markets Podcast Episode 63: Post-Inauguration/Post-FOMC Analysis—Into the Known Unknown

Matt Bush and Evan Serdensky discuss evolving economic and investing conditions, as well as recent A.I.-related volatility.

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Guggenheim Investments represents the following affiliated investment management businesses of Guggenheim Partners, LLC: Guggenheim Partners Investment Management, LLC, Security Investors, LLC, Guggenheim Funds Distributors, LLC, Guggenheim Funds Investment Advisors, LLC, Guggenheim Corporate Funding, LLC, Guggenheim Wealth Solutions, LLC, Guggenheim Private Investments, LLC, Guggenheim Partners Europe Limited, Guggenheim Partners Japan Limited, and GS GAMMA Advisors, LLC,.