E329: How Oaktree Is Positioning $223 Billion for a Credit Cycle Shift
Podcast:How I Invest with David Weisburd Published On: Fri Mar 20 2026 Description: What if the best way to navigate credit markets is not about chasing yield but controlling risk? In this episode, I sit down with Danielle Poli, Co-Portfolio Manager of Global Credit at Oaktree, to explore how she manages a $20 billion portfolio within a $223 billion firm. Danielle shares how focusing on core income, rigorous underwriting, and a flexible toolkit allows her team to navigate complex markets while remaining defensive or opportunistic as conditions change.