Trade policy uncertainty has triggered significant volatility across markets. This has led to notable moves in U.S. Treasury yields and wider credit spreads across high quality fixed income.
Join us for a 10-minute call as our investment leaders explore the key factors influencing the investment grade bond market, and the potential risks and opportunities that could unfold amid the volatility.
Topics will include:
- Market Outlook: Analyzing whether elevated yields are likely to persist in the coming months
- Opportunities & Concerns: Highlighting areas of opportunity and potential risks across various market segments
- Portfolio Positioning: Sectors and allocations favored by the investment team in the current environment