After a long period of calm in financial markets, 2018 has seen a significant increase in volatility. Bond yields and credit spread have risen, whilst uncertainty around global trade has increased, several emerging markets have been under the spotlight and political risk in the Eurozone has re-emerged. This has all proven a very challenging backdrop for fixed income strategies. In this context, Gordon Harding, Investment Specialist at UBS Asset management will outline current opportunities and discuss how the new UBS Global Strategic Bond Fund provides a solution to fixed income investing in this more uncertain environment.