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Investing in global credit markets – ready to shift gears?

Central bank interventions have resulted in a strong financial repression, and yields on government bonds and cash are expected to stay zero to negative for longer. The Japanification of the Eurozone is a fact, and if euro-only investors want to enhance the yield on their fixed income portfolios, they need shift gears and look outside the eurozone for opportunities. In our latest webinar, Erik Keller, Client Portfolio Manager Global Credits, will discuss how a global approach to credits investing can increase yield and return without substantially increasing risk. He will also show how investors can increase the sustainability profile of their global credit investments.
Recorded Oct 29 2020 35 mins
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Erik Keller, Client Portfolio Manager Global Credits
Presentation preview: Investing in global credit markets – ready to shift gears?

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  • Live at: Oct 29 2020 3:00 pm
  • Presented by: Erik Keller, Client Portfolio Manager Global Credits
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