Canada Fixed Income Performance Review & Insight: Looking through the apocalypse

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Presented by

Robin Marshall, director, fixed income research, Global Investment Research & Paul Bowes, country manager and head of Canada

About this talk

Join our webinar to gain expert insight into key developments in the Canadian bond market post-lockdown - Canadian fixed income, QE and economic recovery. Robin Marshall, director of fixed income research, Global Investment Research, will address main developments in Canadian credit, government, and provincial bond markets, including: Financial conditions, and the prospects for economic recovery. Is the investment conclusion from Q2 “don’t fight the Bank of Canada?" Are Canadian government bonds turning Japanese? The COVID-19 credit conundrum – why has high yield outperformed? Robin will draw upon data and analysis from our Market Maps Canadian Fixed Income Insight report to inform this discussion.

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