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Recent News

September 10, 2018

Matthew Brogdon Joins Guggenheim Securities to Expand Oil and Gas Group

Guggenheim Securities, the investment banking and capital markets division of Guggenheim Partners, announced today that Matthew Brogdon has joined the firm as a Senior Managing Director in the firm’s Houston-based Oil and Gas investment banking group.

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August 23, 2018

Yatin Suneja to Join Guggenheim Securities as Biotechnology Analyst

Guggenheim Securities, the investment banking and capital markets division of Guggenheim Partners, announced today that Yatin Suneja will join the firm in November as a Managing Director, continuing the firm’s planned expansion of the Healthcare Research team. Mr. Suneja will focus on the coverage of Biotechnology companies in close collaboration with our growing therapeutics team.

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August 20, 2018

Third Quarter Fixed-Income Video Outlook: Tail Risks Are Getting Fatter

The U.S. economy remains on solid footing, explain Portfolio Manager Adam Bloch and Brian Smedley, head of the Macroeconomic and Investment Research Group, but trade war risk, a flattening yield curve, and other factors signal challenges ahead that warrant portfolio changes.

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August 20, 2018

Guggenheim 3Q Fixed-Income Outlook: Growing Tail Risks Threaten Economic Growth and Market Performance

While the U.S. economy remains on solid footing, trade war risk, a flattening yield curve and other factors signal recession ahead and warrant portfolio changes.

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August 15, 2018

Hazards of the Next Two Years Part 5: Navigating Your Portfolio

Ideas for portfolio positioning amid tight credit spreads and a flattening yield curve.

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August 15, 2018

Hazards of the Next Two Years Part 4: The Pig in the Python

Lower term premiums and a flat yield curve are transitory effects of fiscal stimulus.

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August 15, 2018

Hazards of the Next Two Years Part 3: Oil and Geopolitical Risk

Geopolitical tensions could give rise to substantial supply disruptions.

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August 15, 2018

Hazards of the Next Two Years Part 2: Crowding Out

Government borrowing and the Fed balance sheet runoff are flooding T-bill supply.

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August 15, 2018

Hazards of the Next Two Years Part 1: Credit Cycle Downturn

The markets will be tested by the reaction of passive investors when Fed tightening leads to a credit downturn.

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July 20, 2018

U.S. Trade War Will Hasten the Coming Recession

Scott Minerd, Chairman of Investments and Global CIO, explains on China’s CCTV why trade wars will ultimately cause inflation to rise, hurting U.S. consumers and forcing the Federal Reserve to try to contain it by tightening monetary policy faster.

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