Global Economic Outlook: Strongest World Growth Expected Since 2010

Global Economic Outlook: Strongest World Growth Expected Since 2010

Author: Fitch Ratings June 20, 2017 Duration: 10:20
In our latest Global Economic Outlook James McCormack, Fitch Ratings Global Head of Sovereign Ratings and Brian Coulton, Fitch Chief Economist, discuss growth revisions in 2017 which are, for the most part, positive. There were 12 upgrades to growth forecasts of the 20 countries examined.

Hosted by the analysts at Fitch Ratings, Fixed Interests cuts through the noise of the 24-hour news cycle to explain the forces shaping our financial world. Each episode is a concise, fifteen-minute briefing that connects the dots between high-level policy decisions, shifting market dynamics, and real-world economic consequences. You’ll hear clear explanations on how geopolitical events influence sovereign debt, what new regulations mean for corporate credit, and why a specific inflation report actually matters. This isn’t just headline repetition; it’s context provided by experts who parse the data for a living. Designed for professionals and the strategically curious alike, the Fixed Interests podcast translates complex subjects into actionable understanding, making it possible to stay informed without getting lost in the details. Tune in for a direct, authoritative take on the week’s most pressing business and political developments, all structured to fit into a daily commute or a short break.
Author: Language: English Episodes: 168

Fixed Interests
Podcast Episodes
Mixed Signals for Canada's Energy Economy [not-audio_url] [/not-audio_url]

Duration: 14:36
The ongoing US-Iran conflict has created a complex and mixed picture for Canada, a major oil exporter navigating both the benefits and costs of elevated energy prices. In this episode of Fixed Interests, Joshua Grundlege…
Hungary’s New Government: Policy Priorities and Challenges [not-audio_url] [/not-audio_url]

Duration: 14:20
Hungary’s April elections delivered a decisive victory for the opposition Tisza party, reshaping the country’s political landscape and outlook for policy reform. In this episode of Fixed Interests, Erich Arispe Morales,…
AI Capex, Monetization, and What It Means for Credit [not-audio_url] [/not-audio_url]

Duration: 22:37
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,…
Oil, Risk & Ratings: The Middle East Crisis Briefing [not-audio_url] [/not-audio_url]

Duration: 8:47
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 head…
Tech Shifts and Obsolescence Risks in Structured Finance [not-audio_url] [/not-audio_url]

Duration: 11:47
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 Dir…
Evaluating the Credit Impacts of Youth‑Led Protests in Asia [not-audio_url] [/not-audio_url]

Duration: 11:01
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 po…
2026 Global Credit Outlook: Resilience, Risks, and What to Watch [not-audio_url] [/not-audio_url]

Duration: 10:49
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 volati…
Venezuela After Maduro: US Policy, Oil, and Regional Risks [not-audio_url] [/not-audio_url]

Duration: 13:55
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 impact…
Are Bubble Risks Emerging in Leveraged Finance? [not-audio_url] [/not-audio_url]

Duration: 10:16
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 a…