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Balancing Yield Enhancement & Risk Mitigation

The search for yield while also managing potential drawdown risk is increasingly challenging investors in a world of burgeoning negative-yielding debt – now almost 30% of the global bond market – and declining interest rates. Join Pilar Gomez-Bravo and Owen Murfin in a webcast to hear their views on how to invest in fixed income portfolios in this context – and the broader implications for mandates and asset owners.
Recorded Sep 11 2019 20 mins
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Presented by
Pilar Gomez-Bravo, Director of Fixed Income – Europe & Owen Murfin, Institutional Fixed Income Portfolio Manager
Presentation preview: Balancing Yield Enhancement & Risk Mitigation

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For more than 90 years, MFS has actively managed investments – around the globe, across asset classes and through a myriad of economic and market environments. While the opportunities and challenges have changed, we have kept our long-term perspective and cultivated our robust investment platform. Founded on integrated research, fortified by collaborative thinking and supported by active risk management, our investment platform drives information flow and effective decision-making. This is how we turn information into an analysis advantage, maintain our conviction and allow enough time for our insights to help create the long-term value that drives better outcomes for clients.

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  • Title: Balancing Yield Enhancement & Risk Mitigation
  • Live at: Sep 11 2019 1:00 pm
  • Presented by: Pilar Gomez-Bravo, Director of Fixed Income – Europe & Owen Murfin, Institutional Fixed Income Portfolio Manager
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