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All Episodes

Fixed Interests — 173 episodes

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Title
1

Deteriorating outlook on GCC banks

2

Analysis of Global Trends from the Bank GXO

3

The Fed Reset, Part 2: Markets Recalibrate

4

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

5

Global Economic Outlook - Oil Shock Drives Growth and Inflation Revisions

6

Mixed Signals for Canada's Energy Economy

7

Hungary’s New Government: Policy Priorities and Challenges

8

AI Capex, Monetization, and What It Means for Credit

9

Oil, Risk & Ratings: The Middle East Crisis Briefing

10

Tech Shifts and Obsolescence Risks in Structured Finance

11

Evaluating the Credit Impacts of Youth‑Led Protests in Asia

12

2026 Global Credit Outlook: Resilience, Risks, and What to Watch

13

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

14

Global Economic Outlook - AI-Related Capital Spending Cushions Slowdown

15

Are Bubble Risks Emerging in Leveraged Finance?

16

Argentina Mid-Terms - Credit Outlook and Reform Risks

17

Fiscal Challenges for Western European Sovereigns

18

Challenges Ahead for US Data Center Boom

19

GCC Diversification: Progress and Challenges

20

Emerging Markets in 2025 - Resilience Amid Global Headwinds

21

Global Credit Risk Outlook

22

Fiscal Risks in Japan

23

Global Economic Outlook – Better But Not Good

24

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

25

CEE Electoral Cycle: Sovereign Rating Implications

26

Tariff Uncertainty Continues To Shape Credit Risk Outlook

27

Listen and Subscribe to Fitch Ratings Fixed Interests Podcast

28

Mexico's Sovereign Rating Amid Global Trade Tensions

29

European Sovereigns: Navigating US Policy Shifts

30

China's Fiscal Future: Insights on the Recent Rating Downgrade

31

US Housing Economy Update - Downside Risks Increasing

32

Risk Headquarters 1Q25 - Key Risks to Global Credit

33

India's Economic and Fiscal Outlook

34

Private Credit - 2024 Trends, 2025 Expectations

35

Trump Agenda and Outlook for US Fiscal Policy and Debt Trajectory

36

Global Credit Outlook 2025

37

Global Economic Outlook – Global Growth Stable as Forecasts for Major Economies Shift

38

US Election Impact - Tariffs, Credit Risks, and Market Reactions

39

Public Finances and CEE Sovereign Ratings

40

US Banks - 2024 Trends, 2025 Expectations

41

Common Framework Restructurings - Progress and Challenges

42

Outlook on Emerging Market Economies

43

Economic Policy Expectations for India

44

US Election and Credit Implications

45

Fiscal Policies in the European Union

46

Global Credit Risk through 1H24

47

Global Economic Outlook – Monetary Policy Enters an Easing Phase

48

Mexico’s New Administration - Key Challenges and Opportunities

49

Estimating the Impact of Potential US Tariff Hikes

50

Contagion Risks from Rising Commercial Real Estate Delinquencies

51

Post-Election Economic Outlook for Turkiye

52

Risk Headquarters 2Q24

53

Credit Views on Pakistan Post-Election

54

The Growing World of Private Credit

55

Economic Reforms In Argentina Under Milei - The First 100 Days

56

Outlook for Chinese Credit - What to Expect in 2024

57

Geopolitical Tensions and Economic Risks in the Middle East and North Africa

58

A Challenging Environment for U.S. Commercial Real Estate

59

2024 Global Credit Outlook - Key Themes and What to Expect

60

Opportunities for Supply Chain Diversification In Emerging Markets

61

Global Economic Outlook - High Rates and Slowing Growth

62

Fiscal Developments in Western Europe

63

Assessing Common Framework Debt Restructuring

64

Outlook on APAC Frontier Markets

65

US Sovereign Rating and Outlook Going Forward

66

China's slowdown and sovereign risks

67

Nigeria - Policy Settings Under the New Government

68

Resilience, Nearshoring and What to Expect from Mexico’s Economy

69

Japan’s monetary policy: shifting gears or doubling down?

70

How Sustainable are Egypt's External Finances

71

Global Economic Outlook – Central Bank Inflation Fight Continues

72

Turkish Elections and the Economic Impact

73

Central America’s Positive Rating Momentum

74

Stress and consequences for the US Banking Sector

75

Kazakhstan - Geopolitics and Oil Exports

76

India’s Fiscal Outlook after the 2023 Budget

77

Rate Hikes and Canadian Consumers

78

What to Expect From Brazil’s New Government

79

Global Economic Outlook - Inflation Battle Intensifies

80

U.S. Semiconductor Export Controls - What to Expect

81

US Economic Outlook and Implications of the Midterm Elections

82

GCC Fiscal Update

83

Europe's Energy Crisis

84

Argentina - Still on the Brink After IMF Deal

85

Colombia - Prospects and Challenges under President-elect Petro

86

US Rating Outlook

87

Tight Monetary Policy and Global Growth

88

Philippines - Post Election Outlook

89

Canada Public Financial Outlook

90

Sustainability Landscape & Islamic Finance in GCC

91

Chile - Post-Inauguration Expectations

92

Turkey’s post-downgrade economic outlook

93

Macroeconomic Outlooks on Central and Eastern Europe

94

India’s Fiscal Outlook after the Budget

95

Ghana’s Downgrade with Negative Outlook and Zambia’s G20 Common Framework Prospects

96

What’s Next for Irelands’ Sovereign Rating

97

Inflation Fears Take Centre Stage

98

Andorran Banks - Navigating Challenges Ahead

99

Sovereign Trends in the Andean Region

100

Assessing Cyber Risk at Banks and Insurance Companies

101

Central America - Macroeconomic Outlook and Recovery

102

GCC Update - Budgets, Oil Prices and Reform Prospects

103

Canada Banks - Calm in Stormy Waters

104

Argentina and Ecuador - Tackling Policy Challenges Ahead

105

Rule of Law and Sovereign Ratings in Central and Eastern Europe

106

Mexico's Prospects After the Mid-Term Congressional Elections

107

NextGen EU

108

US Inflation Pressures, Bond Yields and the Fed

109

Fitch Presents "China Perspectives"

110

EM Taper Tantrum Risks

111

Colombia - Economic, Fiscal and Ratings Outlook

112

Revision of Turkey’s Outlook to Stable

113

GCC Update

114

Biden Administration Policy and Sovereign Ratings Outlook

115

Outlook on Sub-Saharan African Sovereigns and the Debt Markets

116

Argentina and Ecuador - Post-Restructuring Outlook

117

Downgrade of Morocco’s Sovereign Rating

118

Korea’s Steady Performance Amidst Pandemic Headwinds

119

Central America’s Weakening Fundamentals - Challenges Amidst US Recession & Health Pandemic

120

The Negative Outlook On Turkey’s Sovereign Rating

121

Indonesia’s Credit Profile in the Age of COVID-19

122

Increased Fiscal and External Challenges for Sub-Saharan Africa Sovereigns

123

Climate Change: The Impact on Sovereign Ratings

124

Peru's Rating Trajectory: Challenges Ahead

125

Nigeria and the Pandemic Shock

126

Global Economic Outlook

127

Update on the GCC – Impact of Oil Shock and the Coronavirus Crisis

128

Downgrade of Mexico’s Sovereign Rating

129

China's Recovery from COVID-19

130

Global Economic Crisis

131

Lockdown

132

Ireland: Elections and Rating Assessment

133

Unrest in Chile and Colombia: The Economic Impact & Risks Ahead

134

CIS and Black Sea Region Rating Cycle Slowing

135

Asian Frontier Markets

136

Global Economic Outlook

137

Demographic Trends

138

Argentina's Post-Election & Debt Restructuring Prospects

139

Fixed Interests Global Economic Outlook

140

Global Sovereign Conferences Key Talking Points

141

South Africa Economic and Political Outlook

142

Sovereign Trends in Central America

143

Political Developments in Spain

144

India Fiscal and Growth Outlook

145

Sub-Saharan African Debt

146

Global Economic Outlook

147

Mexico Downgraded on Pemex Risks, Trade Tensions, and Policy Uncertainty

148

Risks Remain for Argentina in 2019​

149

Fiscal Trends in the GCC

150

Biggest Fall in Global Growth Since 2012

151

Colombia’s Fiscal Challenges and Tax Reform

152

Russia, Positive Outlook

153

Public Finances at Risk When Next Recession Strikes

154

Costa Rica

155

Cracks Appearing in Global Growth Picture as 2020 Headwinds Rise

156

Global Economic Outlook: World Growth Forecast Cut on US-China Trade Battle

157

Global Economic Outlook: Growth Robust to Political Risks

158

Political Risk in Sovereign Ratings

159

China Sovereign Update

160

Global Growth Booming, Banks Less Cautious

161

Eurozone Capital Expenditure Outlook

162

Fixed Interests: China’s growth potential will fall to 5.5%, well below India’s in next 5 years

163

Fitch’s Global Credit Outlook: Around the World in 10 Minutes

164

Global Economic Outlook: Risks to Watch in 2018

165

Sovereign Rating Crises & Recoveries

166

Global Economic Outlook: Sweet Spot for World Economy Won't Last Beyond 2018

167

Credit Market Insights: QE and World Growth Buoy Global Rating Outlooks

168

Global Economic Outlook: Strongest World Growth Expected Since 2010

169

Credit Market Insights: European Growth Pick-Up Boosts 2017 Issuance

170

Global Economic Outlook: Is US Monetary Policy Reaching an Inflation Point?

171

Credit Market Insights: Global Credit Outlook

172

Credit Market Insights: European Bond Markets

173

Global Economic Outlook: Changing Macro Policy Outlooks in the US and in China