Skip to main content

Navigating Market Surprises: Understanding CPI and PPI Impacts

Summary

In this episode of “Know More. Risk Better.,” Winnie Cisar and Zachary Griffiths unpack the implications of the latest CPI and PPI data on fixed income markets, and discuss the Federal Reserve’s anticipated rate adjustments. They provide a strategic outlook for investors amid shifting economic indicators and market resilience.

Analysts

Winnie Cisar
Global Head of Strategy

Zachary Griffiths, CFA
Head of IG & Macro Strategy

Know More. Risk Better.®

Sign up to receive our latest credit insights direct to your inbox.