Analyzing Corporate Bond Relative Value & 2023 Outlook | Bloomberg Professional Services
Webinar

Analyzing Corporate Bond Relative Value & 2023 Outlook

Are Netflix bond spreads wide or tight relative to peers? Which junk bonds trade below 80 cents? Are Uber bond yields low for their rating? Bloomberg has many corporate bond relative value tools and views that may help you answer these questions and many others just like them.

Please join Bloomberg Intelligence’s TMT credit analysts and Bloomberg's fixed income applications specialists at 11:00am NY-time on November 15 for a discussion of corporate bond outlook and key functions including fixed income search, fixed income worksheet, comparable analysis, portfolio and risk analytics, and fixed income relative value.

Speakers

Stephen Flynn

Senior Credit Analyst

Bloomberg Intelligence

Stephen Flynn is a senior credit analyst for Bloomberg Intelligence specializing in media, cable and telecommunications. Stephen has over 20 years of leveraged and investment grade corporate credit research experience. Prior to joining Bloomberg, he was a managing director at Morgan Stanley, where he was a senior high yield analyst and the head of its corporate credit desk analyst effort. Stephen has an MBA from the Leonard N. Stern School of Business at New York University and an undergraduate degree from Lehigh University.

Robert Schiffman

Senior Technology/Internet Credit Analyst

Bloomberg Intelligence

Robert Schiffman is a senior credit analyst for Bloomberg Intelligence specializing in high yield and investment grade technology. Prior to joining Bloomberg, he was the head of investment grade and crossover research at Credit Suisse, where he joined when the firm merged with Donaldson, Lufkin & Jenrette. Robert has covered the global telecommunications, media and technology universe for over 23 years and had been consistently ranked on the Institutional Investor All-American Fixed Income team. He has served on the board of the Fixed Income Analysts Society. Robert has an MBA in finance and accounting from Columbia Business School and a bachelors of science in applied economics from Cornell University.

Len Brous

Credit Market Specialist

Bloomberg

As a credit markets specialist, Len works on tools and data for analysis, investment, trading, and capital markets, with Bloomberg's community of credit users and with Bloomberg's internal product development teams. Previously Len was a managing director in the bank loans investment team of GE Capital, and prior to that held a series of structuring, distribution, and capital markets roles in the institutional fixed income division of Morgan Stanley. He's a graduate of Yale University and Stanford University’s Graduate School of Business.

Ralph Cimmino

Credit Market Specialist

Bloomberg

Ralph is an accomplished Fixed Income and Derivatives executive with extensive experience in asset management, technology, and capital markets. As a member of the Bloomberg L.P.’s Market Specialist Team, he manages client relationships with major fixed income clients in the US. Before joining Bloomberg he worked as a Senior Portfolio Manager at Millennium, Capstone and most recently Marinus Capital. Before moving to the buy-side, Ralph spent ten years in Debt Capital Markets at major sell-side firms. As part of Debt Capital Markets at UBS, he was Global Head of Liability Management. He also held similar senior DCM positions at JPMorgan and Credit Suisse. Ralph has an MBA from Columbia Business School and a degree in Finance from the University of Pennsylvania’s Wharton School.

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