Episode

What the Corporate Bond Spread Is Saying About Risk in 2026

Podcast
Economic Indicators with Fexingo: GDP, CPI, PMI, and Reading the Macro Data
Published
Jul 6, 2026
Duration seconds
432
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https://audio.fexingo.com/business/economic-indicators/episode-0097.mp3
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Summary

With the S&P 500 near record highs and the unemployment rate dipping to 4.2 percent, you'd expect markets to be calm. But Lucas and Luna dig into a less-watched signal: the corporate bond spread. Investment-grade and high-yield spreads have been widening quietly since May, even as stocks rally. They discuss why bond markets sometimes sniff out trouble before equity markets do, what the spread between BBB-rated debt and Treasuries is priced at right now, and how this divergence has historically preceded slowdowns. Drawing on data from July 2026, they connect the dots between falling payrolls growth, flat breakeven inflation, and the message from credit markets. A compact guide to reading the bond market's warning lights without getting lost in jargon. #CorporateBondSpreads #CreditMarkets #BondMarket #RiskOnRiskOff #InvestmentGrade #HighYield #BBBRatedDebt #TreasuryYields #YieldSpread #MacroData #Economics #Business #Podcast #FexingoBusiness #BusinessPodcast #EconomicIndicators #MarketSignal #FixedIncome Keep every episode free: buymeacoffee.com/fexingo