Global bond markets in 2021: The big questions and risks. For investors in APAC

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Presented by

Robin Marshall, director of fixed income, Global Investment Research

About this talk

The "Big" questions and risks facing global bond markets in 2021 • Will inflation be a major issue? • How will central banks respond, should inflation spike? • Are bond yields at a 40 year turning point? • Are credit markets now priced to perfection? Spend 30-minutes of your day with Robin Marshall, Director of Fixed Income Research in our Global Investment Research team, to hear his review of key developments in 2020 and expert insights into 2021’s main challenges. Robin will draw upon key findings from our monthly Fixed Income Insight "Market Maps" report which he authors, and which will be published shortly before the webinar. With a résumé dating over 30 years, Robin has the knowledge to help institutional investors navigate global bond markets to make better informed decisions. His past roles include advising institutional clients on fixed income portfolios and he is an industry-leader in authoring research utilising capital-market analysis.

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