Three Critical Questions Facing Fixed Income Investors in 2021

Why a flexible approach is necessary in this challenging environment.

Key Insights

  • The current bond market landscape raises serious questions for investors about fixed income diversification power, return potential, and liquidity profile.
  • Potential for greater volatility in government bond prices, particularly at the long end of curves, is likely to require a more flexible approach.
  • The Dynamic Global Bond Strategy successfully navigated the volatility and large price swings witnessed in 2020 to deliver, in our view, its objectives of regular returns, downside control, and diversification.
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