The dreadful March 2020 has set various negative records leaving the market with multiple deep cuts and bruises. However, with the help of massive fiscal and monetary stimulus and the opportunities provided to active fund managers, we kept “the skin on our nose” and are standing tall. EUR Credit has regained most of the lost ground and has been normalizing in terms of liquidity and trading patterns.
Join us for an insightful webinar with our Fixed Income Portfolio Managers and Investment Specialists to discover our view on the risk-return profile, default risks and the opportunities of higher spreads in our Eur Credit investment strategies.
Speakers:
_Felix Jüschke, CFA, Investment Specialists Active Fixed Income
_Karsten Rosenkilde, Lead Portfolio Manager of DWS Invest Euro Corporate Bonds
_Per Wehrmann, CFA, Head of European High Yield and Lead Portfolio Manager of DWS Invest Euro High Yield Corporates