Fixed Income | Masterclass

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  • 41 mins 31 secs

The first quarter of 2018 has been the worst for fixed income since the global financial crisis; why was this and is it likely to continue? On the panel to discuss are:

  • Kacper Brzezniak, Portfolio Manager, UK Fixed Income, Allianz Global Investors
  • Bryn Jones, Fixed Income Director, Rathbones
  • Nicolas Trindade, Senior Portfolio Manager, AXA Investment Managers
  • Dan James, Global Head of Fixed Income, Aviva Investors

Learning outcomes:

  1. If and why we are entering a bear market for bonds
  2. How to protect capital if we see a pick up in default rates
  3. The argument for short duration in a rising rate environment


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