Fixed income investors are facing a new market regime characterised by a heightened volatility, high inflation, and tighter monetary policies. This uncertain environment, where market risk sentiment can change overnight, is here to stay and wreaking havoc on investors’ portfolios. What is clear is that the role of fixed income needs to evolve. Investors should incorporate new implementation approaches to address the new markets challenges and build resilient portfolios.
Join Vasiliki Pachatouridi, Managing Director, Head of iShares Fixed Income Product Strategy EMEA and Smadar Shulman, Managing Director, Head of Fixed Income Core and ESG Indices, S&P Dow Jones Indices, to find out more about the new market regime and the role of index-based fixed income strategies.
Presented by:
– Vasiliki Pachatouridi, Managing Director, Head of iShares Fixed Income Product Strategy EMEA
– Smadar Shulman, Managing Director, Head of Fixed Income Core and ESG Indices, S&P Dow Jones Indices
Moderated by:
– Brendan Maton