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Corporate Bonds

No panic: bond mart segregates oil losers from majors, other HY

US shale oil from Adobe 23Apr20 575x375

Debt investors are distinguishing between strong and weak risks in the oil and gas sector, as huge oversupply threatens to weigh on oil prices, already at multi-decade lows — and for the time being, market participants also expect that worries about energy won't tarnish the whole high yield market.

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