Some investors remain cautious about bond markets in today’s macroeconomic environment. There is still much debate about the outlook for inflation, growth and interest rates. Our fixed income team see some compelling opportunities, as well as some risks. In fact, with central banks close to terminal interest rates they have been increasing the duration of some of their portfolios to the highest level in a decade. In credit, they’ve been able to lock in in higher levels of income without taking excessive risk. To learn more, listen to our panel with Michael Matthews, Co-Head of IFI Europe, and Stuart Edwards, fund manager for the IFI Europe Henley-based team. They are hosted by Georgina Taylor, Head of Multi Asset Strategies UK, who leads the discussion.