At FIIG
Mark Bayley recaps Friday's volatile trading session following the Brexit result, with weakness in European credit indices, corporate issues on hold and banks hit the hardest
At FIIG
Mark Bayley discusses volatility in risk assets and currencies upon Britain's decision to exit the EU
At FIIG
Mark Bayley discusses the Fed's FOMC press release, inflationary pressures, and uncertainty as Brexit nears
At FIIG
We are very pleased to announce that FIIG has appointed leading credit analyst and fund manager Mark Bayley to the position of Head of Credit Strategy and Research