Global Market Update: 2Q26 Outlook for the US & Europe episode artwork

EPISODE · Apr 3, 2026 · 58 MIN

Global Market Update: 2Q26 Outlook for the US & Europe

from Know More. Risk Better. · host CreditSights

In this episode of the Know More. Risk Better. podcast, the discussion examines how geopolitical risk, private credit stress, and AI‑driven uncertainty are reshaping global credit markets in 2026. Winnie Cisar is joined by Zachary Griffiths and Logan Miller to assess the market impact of the Iran conflict, rising energy prices, and heightened scrutiny on private credit and BDCs. The conversation explores sharp repricing in rates, evolving central bank expectations, and differences between U.S. and European credit dynamics, while also addressing AI‑related investment risks and labor market implications. Gain timely, macro‑driven insights to help investors navigate volatility, assess credit conditions, and identify opportunities across rates and credit markets.  

Episode metadata supplied by the publisher feed · Published Apr 3, 2026

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Global Market Update: 2Q26 Outlook for the US & Europe

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