Venue
Webinar

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Event Date Wed Aug 17 EDT (over 2 years ago)
Location Webinar
Region All
Details

This is a quarterly update on the macroeconomic and the fixed income market environment. Accelerating inflation has forced central banks to pull forward policy normalization plans, and rate increases are expected across most developed market economies this year. The combination of higher inflation and geopolitical events has increased the risk of policy error. We’ll discuss how policy uncertainty may translate to potentially higher volatility in the bond market and how investors may want to think about their fixed income portfolio.

Speakers

2022 Speakers

Alex Roitz, CFA ®
Client Portfolio Manager, Janus Henderson Investors

Jason England
Portfolio Manager, Janus Henderson Investors