New Fixed Income Era…New Approach to Core Bond Investing That Avoids Star-Manager Risk

Governments issuing record-level debt and corporations loading up on the resulting low-interest debt have caused significant risk distortions in the U.S. bond market.

Olly
Nov 06, 2014
Edited by: Olly Ludwig
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Governments issuing record-level debt and corporations loading up on the resulting low-interest debt have caused significant risk distortions in the U.S. bond market.

Join this complimentary webinar to learn how a principles-based investment strategy—one based on diversification, valuation and leadership/governance—may add peace of mind in this new era of fixed-income investing.

Topics for the 60-minute webinar include:

  • Learn how a principles-based investing framework may improve risk-adjusted returns over the long haul
  • Discover strategies for diversifying interest rate and credit risks across fixed-income sectors
  • Consider the important role that leadership and governance criteria can play in identifying relatively attractive sectors and bond issuers
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