This browser is not actively supported anymore. For the best passle experience, we strongly recommend you upgrade your browser.
| less than a minute read

What are the biggest risks and opportunities for bond investors?

While Fixed Income remains buoyant, we consider what some of the headwinds may be to sustainable returns 

Fixed income managers explain their portfolio positioning following a volatile half year, and how they are taking advantage of opportunities in the sector while negotiating challenges including political uncertainty and 'lower for longer' bond yields.

Tags

asset management, fixed income, bonds, emerging market debt, asset & wealth management

Please contact us for further information