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Ep 63: How Key Risk Indicators Influence Fixed-Income Investment

Falsarone explains how applying fewer financially material metrics in the portfolio selection process creates a better backdrop for risk-adjusted out-performance in developed credit markets
Recorded Nov 17 2019 32 mins
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Presented by
Alessia Falsarone, Head of Sustainable Investing, Sr Portfolio & Risk Strategist for Developed Markets Fixed Income
Presentation preview: Ep 63: How Key Risk Indicators Influence Fixed-Income Investment

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Sustainable Finance Knowledge for Financial Advisors
Each week, Paul Ellis discusses with his guest the details of how her or his participation in sustainable finance is disrupting "business as usual" in the investment and/or advisory industries.

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  • Title: Ep 63: How Key Risk Indicators Influence Fixed-Income Investment
  • Live at: Nov 17 2019 7:15 pm
  • Presented by: Alessia Falsarone, Head of Sustainable Investing, Sr Portfolio & Risk Strategist for Developed Markets Fixed Income
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