Inflation is at a 30 year high and the markets are pricing in rate rises; is the great bond bull market finally over? Discussing in this Masterclass are:
- Nicolas Trindade, CFA, Senior Portfolio Manager, AXA Investment Managers
- Paul Syms, CFA, Head of EMEA ETF Fixed Income Product Management, Invesco
- Gregory Finck, Managing Director, Portfolio Manager and Head of the Securitized team of Global Fixed Income, Morgan Stanley Investment Management
Learning outcomes:
- The importance of duration to a bond fund’s risk and return profile
- How to limit the impact of inflation on returns
- The opportunities for investors outside of government paper and investment grade credit