Having a clear handle on the global growth and inflation outlook will prove critical as economies continue to emerge from lockdown. Where do the risks and opportunities lie for fixed income investors and how might a tapering of quantitative easing impact financial markets?
In this webcast, Ariel Bezalel, Head of Strategy, and Harry Richards, Fund Manager, will shed light on these key questions for global fixed income investors and will explain how their portfolios are positioned to seek opportunities while managing downside risk.