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Event Date |
Tue Jun 20 BST (over 7 years ago)
In your timezone (EST): Tue Jun 20 12:00am - Tue Jun 20 12:00am |
Location | London, England |
Region | EMEA |
At this event, fixed income managers will outline their portfolio positioning during a challenging time for the asset class, as momentum swings behind global fiscal stimulus measures and some commentators call the end of the multi-decade bond bull market. In particular, they will address the ‘Trump effect’ on bonds and the best ways to inflation-proof portfolios, as well as give their outlooks for areas like emerging market debt. They will also give their views on the issue of bond liquidity, which is still concerning investors and regulators.
Delegates attending this briefing will also benefit from fantastic networking opportunities, informative Q&A sessions and valuable structured CPD hours.
Craig Abouchar
Portfolio Manager
Barings
Michael Count
Senior Fund Manager, Fixed Income
Canada Life Investments
Bill Harer
Head of Fixed Income - Credit Research & UK Linked Funds
Canada Life Investments
Adam Laird
Lyxor ETF
Head of ETF Strategy, Northern Europe
John J. Morton, CFA
Portfolio Manager
Lord Abbett
Travis Spence
Head of the GFICC EMEA Client Portfolio Management team
J.P. Morgan Asset Management
Satya Patel
Portfolio Manager
Matthews Asia
Pierre Verlé
Head of Credit
Carmignac
LORD ABBETT
BARINGS
CANADA LIFE
CARMIGNAC
J.P MORGAN
LYXOR
MATTEWS ASIA