Ep. 145— Private equity fund lets ordinary investors go after assets previously off-limits
Ep. 144— How to size up BDCs to determine the standout buys
Ep. 143— Matisse’s Boughton: International, emerging-markets stocks are ‘dirt cheap’
Ep. 142— How current events are impacting the capital markets
Ep. 141— Your questions answered with Mike Taggart, AICA executive director
Ep. 140— AICA’s Scott: Closed-end fund 2.0 is off to a strong start
Ep. 139— Taggart: As unrest widens discounts, buy the asset not the bargain
Ep. 138— BDCs and middle-market credit can solve rising-rate puzzle
Ep. 137— Bonus episode: Rate and inflation picture are triggering rotation
Ep. 136— What to expect from closed-end funds in a rising-rate environment
Ep. 135— In the closed-end discount cycle, now is the time to be buying
Ep. 134— BlueBay’s Farley: Lots of market events, limited good investment opportunities
Ep. 133— With or without legislation, infrastructure’s on the upswing
Ep. 132— Cliffwater’s Condrell: Middle-market credits smooth portfolio returns
Ep. 131— Flat Rock sees big value in the trade-off of liquidity for return potential
Ep. 130— John Cole Scott’s crystal ball view of 2022 in closed-end funds
Ep. 129— Big premiums and high dividend yields key a banner year for closed-end funds
Ep. 128— How shareholders benefit from ‘follow-on offering’ trend
Ep. 127— Activism isn’t waning, but rules governing it are changing
Ep. 126— Consider an interval fund as the place for your muni bond holdings

