In this webinar, Anne Walsh, CFA, will discuss strategies to weather near-term bond market risks from COVID-19 and a global recession and take advantage of attractive fixed income investment opportunities as they unfold.
In this webinar, Anne Walsh, CFA, will discuss strategies to weather near-term bond market risks from COVID-19 and a global recession and take advantage of attractive fixed income investment opportunities as they unfold.
Despite zero to negative interest rates in many global bond markets and extraordinary fiscal and monetary policy responses from the Fed and other Central Banks to COVID-19, corporate credit risk continues to rise. Investment grade bond investors must contend with the downgrade risk of BBBs hanging over markets that is likely to be exacerbated by a deep global recession. Anne Walsh, CFA will analyze current market dynamics in corporate credit and other fixed income sectors, explore the effects and unintended consequences of recent policy responses and discuss fixed income strategies to navigate risks and potential investment opportunities ahead.
This is an archived recording of a live webinar that took place on 10 June 2020.