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Unconstrained Fixed Income: How Does it Fit?

This webcast will explore a framework for incorporating Nontraditional Bond Funds in building better fixed income solutions for clients. Whether pairing Intermediate Bond (Core / Core Plus) Funds with Nontraditional Bond Funds or exploring fixed income portfolios having strategic allocations to fixed income plus sectors such as High Yield, Bank Loans and Emerging Markets, Nontraditional Bond Funds can serve as an important diversifier and complement in fixed income allocations.

Participants will gain an understanding of:
•Structuring a framework for identifying how to implement Unconstrained Fixed Income into client portfolios
•Utilize Sharpe Ratios and Correlation Analysis to identify appropriate allocations
•The impact from manager selection between top quartile funds relative to the broad fund category
•Key issues to consider when customizing your framework
•Thinking about Unconstrained Fixed Income beyond duration diversification
•Evaluating different approaches to implement across client portfolios
Recorded Mar 18 2020 56 mins
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Presented by
Chris Wilson, CFA, Senior Client Portfolio Manager, Voya Investment Management
Presentation preview: Unconstrained Fixed Income: How Does it Fit?

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  • Unconstrained Fixed Income: How Does it Fit? Recorded: Mar 18 2020 56 mins
    Chris Wilson, CFA, Senior Client Portfolio Manager, Voya Investment Management
    This webcast will explore a framework for incorporating Nontraditional Bond Funds in building better fixed income solutions for clients. Whether pairing Intermediate Bond (Core / Core Plus) Funds with Nontraditional Bond Funds or exploring fixed income portfolios having strategic allocations to fixed income plus sectors such as High Yield, Bank Loans and Emerging Markets, Nontraditional Bond Funds can serve as an important diversifier and complement in fixed income allocations.

    Participants will gain an understanding of:
    •Structuring a framework for identifying how to implement Unconstrained Fixed Income into client portfolios
    •Utilize Sharpe Ratios and Correlation Analysis to identify appropriate allocations
    •The impact from manager selection between top quartile funds relative to the broad fund category
    •Key issues to consider when customizing your framework
    •Thinking about Unconstrained Fixed Income beyond duration diversification
    •Evaluating different approaches to implement across client portfolios
  • Ask the Expert: Unconstrained Fixed Income Recorded: Nov 5 2019 27 mins
    Brett Cornwell, CFA, Client Portfolio Manager, Fixed Income, Voya Investment Management
    Join this 1-on-1, 25-minute interview with an expert discussing in-depth insights during an industry event. This interview will have a special focus on unconstrained fixed income, including:

    - Fixed Income strategies and the “taper tantrum”
    - Evaluating risk in Unconstrained Strategies.
    - How advisors should think about their fixed income line-up.
    - Variances of performance dispersion among unconstrained managers.
    + more!
  • Fixed Income in a Low-Rate World Recorded: Nov 5 2019 46 mins
    Brian Ross, Flyer | Matthew Bartolini, SSGA | Michael Arone, SSGA | Brett Cornwell, Voya Investment Management
    In the US, on October 30th, 2019, the Federal Reserve cut interest rates for the third time in 2019, and left the future uncertain regarding whether if or when another cut would happen. Meanwhile, Europe is reluctantly admitting to symptoms of Japanification, a term to describe the demographic, economic and monetary trends that has occurred in Japan over the last 25 years.

    This panel will discuss:
    - How investors can use Fixed Income effectively in this environment
    - What market may show similar symptoms in the future
    - Possibilities for a reversion of interest rates

    Speakers:
    Brian Ross, CEO, Flyer (moderator)
    Matthew Bartolini, CFA Head of SPDR Americas Research, State Street Global Advisors
    Michael Arone, CFA Chief Investment Strategist, State Street Global Advisors
    Brett Cornwell, CFA, Client Portfolio Manager, Fixed Income, Voya Investment Management
  • Voya IM Fixed Income Platform Recorded: Oct 31 2019 3 mins
    Matt Toms, Voya Chief Investment Office, Fixed Income
    Aligned to discover opportunities across the fixed income spectrum, our 200+ member team’s proven capabilities across traditional fixed income and beyond are how we have been able to preserve principal and tap into differentiated sources of risk-adjusted performance during all phases of the market cycle.
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  • Title: Unconstrained Fixed Income: How Does it Fit?
  • Live at: Mar 18 2020 4:00 pm
  • Presented by: Chris Wilson, CFA, Senior Client Portfolio Manager, Voya Investment Management
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