On one side are more dovish central bankers prepared to keep rates low and provide liquidity, on the other is a deteriorating global economic backdrop. Which will win out? In this presentation, Tim Winstone, lead manager of the Janus Henderson Euro Corporate Bond strategy at Janus Henderson Investors, looks at the implications for European corporate bonds. Areas covered include:
• The risks and opportunities from the technical and economic backdrop
• The implications of negative rates and is there still value within investment grade bonds
• An update on the markets and portfolio positioning