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Fixed Interests

Fixed Interests

194 episodes — Page 1 of 4

Up in the Air: EMEA Airlines Confronting Higher Fuel Prices

Sep 10, 20263 min

Long-Dated Yields and the Fiscal Squeeze on Sovereigns

Sep 10, 20266 min

U.S. and EMEA Corporate Distressed & Default Monitor

Sep 4, 20264 min

The Connective Tissue: How Ratings Drive Global Capital

Sep 2, 20264 min

Three Paths, One Goal: Meeting the Infrastructure Challenge

Sep 2, 20264 min

Bankruptcy EVs & Creditor Recoveries Series: U.S. Gaming & Restaurants

Aug 25, 20264 min

Is Argentina Finally Turning the Corner?

Aug 25, 20265 min

EU Bank Reform: A Push to Unlock Cross-Border Growth

Aug 20, 20265 min

Fitch's U.S. Consumer Health Pulse

Aug 19, 20265 min

Japan Relation and the Yen Reset

Aug 17, 20265 min

Resilience, Risk and Ratings Momentum in Global Corporate Credit

Aug 12, 20265 min

Navigating AI's Impact on Service Businesses

Aug 5, 20265 min

Inside Fitch's U.S. and EMEA Distressed and Default Monitor — July 2026

Aug 4, 20265 min

Implications of USMCA Annual Reviews for Mexico and Canada - Part 2

Aug 3, 20264 min

Implications of USMCA Annual Reviews for Mexico and Canada - Part 1

Jul 31, 20264 min

El Niño Part 3: Credit Implications for Hydropower and Palm Oil Sectors in Asia Pacific

Jul 29, 20264 min

Oil Shocks and Inflation Persistence – The Risk from Price Mark-Ups

Jul 29, 20265 min

Business Development Companies and the Rise of Balance Sheet Financing Vehicles

Jul 29, 20264 min

El Niño Part 2 - Credit Impact on Latin American Energy, Power, & Utilities

Jul 27, 20264 min

Innovation In Credit: New Structures, New Opportunities for Debt Investors

Jul 20, 20265 min

El Niño Part 1: Impact on Emerging Market Sovereign Credit

Jul 13, 20264 min

Deteriorating Outlook on GCC banks

Jul 9, 20264 min

Analysis of Latest Trends from the Global Bank Forecast Monitor

Jul 8, 20265 min

The Fed Reset, Part 2: Markets Recalibrate

Jul 1, 20265 min

The Fed Reset, Part 1: A New Chair, A New Tone

Jul 1, 20265 min

Global Economic Outlook - Oil Shock Drives Growth and Inflation Revisions

Jun 24, 202613 min

Mixed Signals for Canada's Energy Economy

May 29, 202614 min

Hungary’s New Government: Policy Priorities and Challenges

May 6, 202614 min

Ep 165AI Capex, Monetization, and What It Means for Credit

AI‑driven investment in data centers, compute capacity, and supporting infrastructure continues apace, raising important questions about future monetization and credit sustainability. In this episode of Fixed Interests, Justin Patrie, Head of Credit Commentary and Research, is joined by Alen Lin, Senior Director in Corporate Ratings, and Alex Bumazhny, Group Credit Officer, to examine recent developments around AI’s credit implications. The episode looks at whether current data center and compute capex is supported by future revenue potential, how value and cash flows may evolve across the AI value chain, and where overinvestment and disruption risks may emergeRelated resources: AI-Related Risks Rising for Software, Media, and Services CorporatesAI Revenue Potential Could Support Current Investment ScaleUS Public Power Planning Key to Absorbing Data Center Load Growth

Apr 8, 202622 min

Ep 164Oil, Risk & Ratings: The Middle East Crisis Briefing

Richard Hunter and Duncan Innes-Ker discuss how the Middle East crisis is affecting sovereign ratings and the macro-outlook. Impacts are contained so far, and much geopolitical risk is already built into ratings and headroom.Related Resources:Fitch Insights: Credit Implications of the Iran WarWorld Growth to Continue at Steady Pace if Oil Price Shock Short-LivedEgyptian Banks Are Well Positioned to Withstand Iran Conflict EffectsHigh Oil Prices Support PDP ABS Collateral Value; Hedges Limit Upside

Mar 13, 20268 min

Ep 163Tech Shifts and Obsolescence Risks in Structured Finance

From unsupported EV software to AI‑driven changes in office use and logistics, tech is reshaping collateral performance. Justin Patrie, Head of Fitch Ratings Credit Commentary and Research, and Suzanne Albers, Senior Director in Structured Finance, look at pressure points such as outdated EV systems, shifts in office demand linked to AI adoption, and the widening gap between legacy and modern logistics sites. Taken together, these trends are influencing risk across auto ABS, CMBS, and RMBS and accelerating how these sectors respond to the faster pace of technological change.Related Resources:Accelerating Technology May Increase Obsolescence Risk Within ABS, MBSStable Arrears Protect European Auto ABS Against Near-Term RiskU.S. CLO Note Ratings Resilient to Severe Software Sector Stress

Mar 10, 202611 min

Ep 162Evaluating the Credit Impacts of Youth‑Led Protests in Asia

Thomas Rookmaaker and Harry Hu evaluate recent youth‑led protests in several Asian countries, driven by concerns over governance, living costs and unemployment, and their implications for sovereign credit profiles and political transitions.Risk of Political Flare-Ups to Linger in 2026 for Some APAC SovereignsAsia ‘BBB’ Sovereigns Show Strong Growth; Fiscal Risks DivergeDurable Coalition Key to Thailand's Fiscal Outlook After Elections

Feb 13, 202611 min

Ep 1612026 Global Credit Outlook: Resilience, Risks, and What to Watch

Justin Patrie and Sarah Repucci unpack Fitch’s Global Credit Outlook, highlighting resilient credit conditions, pressures in China and Canada, and key risks, including strain on lower‑income U.S. consumers, tariff volatility and geopolitical shocks.Global Credit Resilience to Face Major Tests in 2026Global Private Credit’s Burgeoning Scale, Complexity to Continue in 2026Geopolitical Tensions Raise Emerging Market Credit Risks in 2026Benign U.S. Credit Backdrop Faces AI, Consumer and Trade RisksGeopolitical Tensions Cloud Developed Europe’s Growth, Investment

Feb 6, 202610 min

Ep 160Venezuela After Maduro: US Policy, Oil, and Regional Risks

Todd Martinez and Josh Grundleger discuss the US ouster of Nicolas Maduro, the revived Monroe Doctrine, and key risks for Latin America, including oil investment, debt restructuring, regional market reactions, and impacts on migration and tourism.

Jan 12, 202613 min

Ep 159Global Economic Outlook - AI-Related Capital Spending Cushions Slowdown

Brian Coulton and Ed Parker discuss Fitch’s Global Economic Outlook, reviewing where the world economy stands at the close of 2025 and key trends for 2026, from AI-driven investment and resilient U.S. equities to China’s sharp investment slowdown.

Dec 15, 202515 min

Ep 158Are Bubble Risks Emerging in Leveraged Finance?

Lyuba Petrova, Lyle Margolis and Justin Patrie examine bubble risks as equities surge, credit spreads tighten, private credit faces hidden vulnerabilities and AI investment accelerates, though valuations suggest buyers aren’t overpaying.

Dec 12, 202510 min

Ep 157Argentina Mid-Terms - Credit Outlook and Reform Risks

Shelly Shetty and Todd Martinez analyze Argentina’s mid-term elections, what Milei’s stronger legislative backing means for reforms, and the lingering risks around reserves and external liquidity.

Nov 13, 202515 min

Ep 156Fiscal Challenges for Western European Sovereigns

James Longsdon, Head of Global Sovereigns and Supranationals, and Federico Barriga Salazar, Head of Western European Sovereign Ratings, discuss Western Europe’s fiscal divergence, recent upgrades and downgrades, and Fitch’s deficit outlook.

Oct 30, 202510 min

Ep 155Challenges Ahead for US Data Center Boom

Justin Patrie, Head of Credit Commentary & Research, and Sarah Repucci, Senior Director, Credit Commentary & Research, discuss emerging challenges for the AI-fueled US data center boom, covering investment, rising costs, impact on utilities and more.

Oct 22, 20258 min

Ep 154GCC Diversification: Progress and Challenges

Paul Gamble, Head of Middle East and Africa (MEA) Sovereigns, and Cedric Berry, Director, MEA Sovereigns, discuss GCC efforts to diversify their economies beyond oil, and the varied pace of progress across the region.

Sep 29, 202510 min

Ep 153Emerging Markets in 2025 - Resilience Amid Global Headwinds

Justin Patrie and Duncan Innes-Ker discuss how emerging market credits are faring this year amid slower global growth, geopolitical risks, and shifting U.S. policy - highlighting ratings resilience and modest positive momentum.

Aug 27, 202512 min

Ep 152Global Credit Risk Outlook

Justin Patrie and David Prowse discuss key themes from Fitch’s Global Credit Risk Outlook, including slower growth, tariff uncertainty, and weaker credit conditions—as well as the overall ratings resilience amid these challenges.

Aug 7, 202513 min

Ep 151Fiscal Risks in Japan

Thomas Rookmaaker, Head of APAC Sovereign Ratings, and Krisjanis Krustins, lead analyst for Japan, discuss Japan’s fiscal outlook, covering the impact of rising bond yields, fiscal populism and long-term spending pressures.

Jul 18, 202510 min

Ep 150Global Economic Outlook – Better But Not Good

Brian Coulton, Chief Economist, and Ed Parker, Sovereigns Managing Director, discuss Fitch’s mid-year Global Economic Outlook, focusing on global growth forecast updates since April and how tariffs are driving key changes to projections.

Jul 7, 202513 min

Ep 149Global Corporates at Mid-Year - Sector Outlooks Deteriorates on Tariffs Pressure

The credit outlook for global corporates has worsened in 2025, with 14 sectors and sub-sectors deteriorating at mid-year vs. 5 at end-2024. Justin Patrie and Carla Taylor, Head of Research for the Americas, discuss the drivers and implications.

Jun 26, 202512 min

Ep 148CEE Electoral Cycle: Sovereign Rating Implications

Paul Gamble, Senior Director of Sovereign Ratings, and Erich Arispe, Head of Emerging Europe Sovereign Ratings, discuss the credit implications and common themes of the 2025/2026 electoral cycle in Central and Eastern Europe.

Jun 18, 202519 min

Ep 147Tariff Uncertainty Continues To Shape Credit Risk Outlook

Fitch's 2Q25 Risk Headquarters report highlights a worsened risk outlook amid US tariff volatility. David Prowse and Justin Patrie discuss key points from the report, centered around how Trump-era policies continue to elevate investor concerns.

May 23, 20259 min

Ep 146Listen and Subscribe to Fitch Ratings Fixed Interests Podcast

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From global macroeconomic trends to sovereign credit developments to regulatory and political changes, Fitch’s Fixed Interests podcast delivers the analyst insights and updates you need to stay ahead in a rapidly evolving market. Available wherever you get your podcasts.

May 19, 20251 min

Ep 145Mexico's Sovereign Rating Amid Global Trade Tensions

Shelly Shetty, Managing Director, Americas Sovereigns and Todd Martinez, Senior Director, Sovereigns, discuss Mexico’s recent rating affirmation, and how the sovereign is navigating global trade tensions and domestic fiscal challenges.

May 14, 202516 min

Ep 144European Sovereigns: Navigating US Policy Shifts

Explore the impact of US tariffs on European sovereigns with Jan Friederich, Head of EMEA Sovereigns, and Federico Barriga Salazar, Head of Western European Sovereigns, as they discuss strategic responses and fiscal implications for Europe.

May 1, 202511 min