FINANZ Podcast

Stability and Yield in a Transforming Market (EN)

Episode Summary

This episode explores how investors can find stability and attractive yield in a rapidly changing market environment. The focus is on Nordic corporate credit — a segment known for its resilience, strong issuer quality and compelling risk‑adjusted returns. The discussion highlights how the Pareto Nordic Corporate Bond strategy navigates shifting macro conditions and why Nordic credit continues to stand out as a robust and opportunity‑rich segment for global investors.

Episode Notes

Nordic corporate bonds have historically demonstrated strong fundamentals, supported by transparent markets, disciplined corporate governance and a diversified issuer landscape. In this episode, Øyvind Hamre explains how the Pareto Nordic Corporate Bond strategy identifies opportunities across sectors, manages risk and maintains stability even during periods of market stress.

Listeners gain insight into the characteristics that make Nordic credit unique, how the strategy balances yield and downside protection, and why the region’s corporate issuers remain attractive in a transforming global market. The conversation provides a practical look at how active management and deep regional expertise can unlock value for investors seeking both stability and performance.

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👤 Speakers:   Øyvind Hamre, Partner & Portfolio Manager, Pareto Asset Management


🔗 More podcast episodes and information:   www.finanz-ch.ch


📌 Further information on participating companies:  
Pareto Asset Management – https://paretoam.com