Hey guys, I intern at a hedge fund and my boss asked for an analysis on these questions about corporate bonds (non-investment grade) and I am completely lost. Would you kindly help me out?
1) Write a brief analysis on the issuances (what goes in here?)
2) How does the economic macro environment influence issuance action?
3)Why would a country dominate issuance?
1) Write a brief analysis on the issuances (what goes in here?)
2) How does the economic macro environment influence issuance action?
3)Why would a country dominate issuance?