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    Home»Investing»Credit Spreads at 25-Year Lows Highlight Investors’ Volatility Blind Spot
    Investing

    Credit Spreads at 25-Year Lows Highlight Investors’ Volatility Blind Spot

    August 26, 20252 Mins Read


    The chart below shows the option-adjusted credit spreads for US BBB-rated corporate bonds with a 10-year maturity.Credit Spreads for US BBB 10-Year Corporate Bonds

    Credit spreads are always positive: for corporations to attract investors to buy their bonds they must offer a premium.

    That premium is called ’’Credit Spread’’: it refers to the fact that corporate bond yields are higher than government bond yields or interest rate swaps.

    Hence, investors willing to take the risk of a corporate default will be compensated with this premium – the credit spread.

    So, what’s strange about the chart below?

    US credit spreads are now sitting at 94 bps only.

    That’s the tightest level in 25 years!

    And it’s not only a US phenomenon.

    Despite the non-negligible worries about French political jitters and ignoring what a bad French outcome could mean for Europe, the spread between and sits at levels seen during QE.

    So, what does this mean?

    Sitting on a long credit spread position means you get paid a nice spread until something happens and volatility comes to bite.

    Investors convinced nothing bad can happen will end up going long credit spreads at very tight levels.

    Effectively, today investors are selling volatility and receiving a low upfront premium for their risk.

    Animal spirits are running loose.

    Be careful out there.

    ***

    This article was originally published on The Macro Compass. Come join this vibrant community of macro investors, asset allocators and hedge funds – check out which subscription tier suits you the most using this link.





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