Expand your possibilities around fixed income investing
Traditional fixed income investing has failed in its role as a diversifier to risk assets and an anchor of stability during periods of market turmoil. This is driven by structural shifts in the global macro backdrop and resulting inflection points in central bank policies worldwide. This environment of higher volatility, greater uncertainty and shifting correlations requires a more innovative approach to fixed income investing. The global bond universe is so wide and diverse that it offers investors the ability to execute a wide range of views and the instruments to hedge most types of risks. This session discusses the various approaches and strategies investors can take to fully capitalize on the vast opportunities offered by fixed income to achieve their desired outcomes in any market environment.
Mr. Ramon MARONILLA
Portfolio Specialist, Fixed Income Division
T. Rowe Price