Panasonic: The Video Co. That Could Kill The Corporate Bond Lull

Bond investors will likely be watching for any developments related to Panasonic’s potential bond sale, as well as a myriad of geopolitical risks lining the landscape, including U.S.-China trade negotiations, Middle East volatility, and progress with Brexit, as global growth shows signs of sputtering.

When market conditions are too volatile, corporate bond issuers are typically waylaid from bringing their deals to market. Panasonic’s potential issuance is no exception and would be subject to market conditions.

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DISCLOSURE: AUTHOR SECURITY HOLDING: NO POSITIONS

The author does not hold any positions in the financial instruments referenced in the materials ...

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