Overview
Inflation is cooling, growth remains steady, and bond yields are compelling—yet navigating the fixed income landscape is anything but simple. Risks and opportunities abound, requiring a strategic approach to building resilience and flexibility.
Join us for an insightful discussion on how to construct a dynamic fixed income portfolio by tapping into diverse return sources across government bonds, corporate credit, and global markets. From active interest-rate management to exploring private and semi-liquid credit markets, this session will provide actionable strategies to help you navigate today’s evolving environment. Sponsored by Neuberger Berman.
Key takeaways:
- Government Bonds vs. Corporate Credit – Assess the trade-offs between attractive yields and tight spreads.
- Beyond Traditional Diversification – Strengthen your portfolio with active interest-rate risk management and global opportunities.
- Unlocking the Private Credit Advantage – Explore how private and semi-liquid credit markets can enhance returns.
- Adapting with Agility – Build strategies that respond to shifting inflation and growth dynamics.
- Global Vision, Local Execution – Identify fixed income opportunities beyond your home market.
Gain valuable insights from industry experts and refine your fixed income strategy.
Event timings:
ET: 11:00 AM
GMT: 3:00 PM