Episode

Markets Mindset: Q2 2025 Leveraged Finance: Navigating Volatile Markets

Podcast
Beyond The Obvious
Published
May 1, 2025
Duration seconds
603
Processing state
not_requested
Canonical source
https://share.transistor.fm/s/5df52865
Audio
https://media.transistor.fm/5df52865/08951b2a.mp3
JSON
/v1/public/podcasts/beyond-the-obvious-6984827/episodes/markets-mindset-q2-2025-leveraged-finance-navigating-volatile-markets
Markdown
/podcast/beyond-the-obvious-6984827/markets-mindset-q2-2025-leveraged-finance-navigating-volatile-markets.md

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Summary

As the market reopens following post-April 2nd volatility, what should Leveraged Finance issuers prioritize as we move into Q2 and beyond? Our latest episode of Markets Mindset features Mizuho's Head of Leveraged Finance, Jeb Slowik, joined by Head of High Yield Capital Markets, Phil Tamplin, and Managing Director, Derivatives Risk Solutions Americas, Andrew Simon as they discuss high yield and loan fund flows, issuance and pricing as well as examine hung transactions resulting from the market uncertainty. Join our experts as they unpack Mizuho’s recent deals and give their outlook on navigating Leveraged Finance markets going forward.