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Event Date |
Wed Apr 20 CDT (over 2 years ago)
In your timezone (EST): Wed Apr 20 1:00am - Wed Apr 20 1:00am |
Location | Online |
Region | Americas |
With inflationary pressures expected to persist through a period of more uncertainty in the global economy sparked by recent geopolitical and other risks, fixed-income investors need to monitor multiple signals even as they strive to meet long-term portfolio objectives through this low-yield environment. As the Federal Reserve works to contain inflation in this scenario, where are the pockets of opportunity for yield and diversification? Is this the time to double down on active management of fixed income? This panel of experts shares their views on the macro outlook, the different risks that investors need to take into account in allocation decisions, as well as opportunities in emerging markets corporate debt and other sectors to consider today.
2022 Speakers
SPEAKERS:
Jon Cordo, CAIA
Senior Vice President – Consultant Relations, Brandywine Global
Victoria Harling
Head of Emerging Market Corporate Debt, Ninety One
Wouter Van Overfelt, PhD
Head of Emerging Market Corporates, Vontobel Fixed Income Boutique
MODERATOR:
Gauri Goyal
Director, Content Solutions, Pensions & Investments
2022 Sponsors
• Brandywime Global
• Ninety One
• Vontobel