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Managing market volatility by investing in the US corporate bond market

17h00 - 17h30
Conference Room 2

The US corporate bond market is one of the largest markets in the world, and has exhibited an attractive risk-return profile over multiple decades.

As investors, we have and will continue to face uncertainty in markets all over the world, which is where fixed income strategies, including short duration bonds can help minimise portfolio volatility, while maintaining liquidity and generating stable income.

Find out how active investors can invest in such portfolios, backed by fundamental credit research to mitigate downside risk from credit cycles.