Fixed Income | Masterclass

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  • 46 mins 35 secs

Equity markets are looking volatile so what does that mean for fixed income? In this Masterclass a panel of four experts discuss the current bond market environment, where they see value in the market, credit rating agencies, the sizing of government debt and thoughts on what fixed income holds for the next 12 months. On the panel are:

  • Kacper Brzezniak, Portfolio Manager, Allianz UK Fixed Income, Allianz Global Investors
  • Peter Khan, Portfolio Manager, Fidelity Global High Yield Fund, Fidelity
  • Rhys Davies, Portfolio Manager & Senior Credit Analyst, Invesco Perpetual Fixed Interest, Invesco Perpetual
  • Jonathan Platt, Head of Fixed Income, Royal London Asset Management

Learning outcomes:

  1. The main risks facing bond investors in 2018
  2. The outlook for defaults among corporates
  3. Where fixed income managers are finding value in the markets


London • Harpenden
Tel: +44 (0)1582 764000

New York
Tel: +1 212 661 4111

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