Fixed Income | Masterclass

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  • 39 mins 42 secs

With rates beginning to tick up in the US we look at the implications for bond markets. Also under the spotlight are liquidity risk and the growing influence of ESG. Taking part are:

  • Jeff Mueller, Portfolio Manager, High Yield and Multi-Asset Credit, Eaton Vance
  • Sajiv Vaid, Portfolio Manager, Fidelity International
  • Thomas Moore, Fund Manager and Senior Credit Analyst, Invesco Perpetual
  • Jonathan Platt, Head of Fixed Income and Fund Manager, Royal London Asset Management

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Masterclass

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