Rating agencies have been broadly positive, but their outlook is turning more cautious — especially in high yield — as geopolitical risks rise and spreads remain tight. In this episode of Inside Active, host David Cohne, mutual fund and active management analyst at Bloomberg Intelligence, along with co-host Sam Geier, corporate credit strategist at Bloomberg Intelligence, speak with David Sherman, founder and chief investment officer of CrossingBridge Advisors and a portfolio manager of the RiverPark Strategic Income Fund (RSIVX). Sherman explains why protecting return of capital matters more than chasing return on capital, how he applies a value-investing discipline to credit markets and where he’s finding opportunity in an expensive environment, including in the Nordic bond market. The conversation also explores the K-shaped divide in corporate credit fundamentals, the evolving distressed landscape and why liquidity premiums may be the most underappreciated risk in fixed income today. The podcast was recorded on March 3.

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