Podcast
Podcaster
Beschreibung
vor 4 Tagen
This episode explores the key building blocks of today’s fixed
income opportunity set. With markets navigating persistent
uncertainty, investors increasingly seek strategies that combine
flexibility, diversification and disciplined risk management. The
discussion highlights two complementary approaches:
Euro Credit Total Return — targeting
opportunities across the Euro credit spectrum with an active,
benchmark‑aware yet flexible framework.
Global Absolute Return Bond — leveraging a
global, unconstrained fixed income universe to navigate diverse
market conditions and exploit volatility.
The speakers outline how these strategies aim to deliver strong
risk‑adjusted returns across cycles by combining active
management, broad diversification, and robust risk‑controlled
processes. The session provides practical insights into
positioning portfolios for resilience while capturing yield in a
shifting macro environment.
More podcast episodes and information: www.finanz-ch.ch
Further information on participating
companies:
BNP Paribas Asset Management, https://www.bnpparibas-am.com
AXA Investment Managers, https://www.axa-im.com
Disclaimer
DE: Der Inhalt dieser Folge dient der allgemeinen Information und
ist keine Empfehlung zum Kauf oder zur Veräusserung bestimmter
Finanzinstrumente. Alle Angaben sind ohne Gewähr und es handelt
sich nicht um Anlageberatung.
EN: The content of this episode is for general information
purposes only and does not constitute a recommendation to buy or
sell specific financial instruments. All information is provided
without guarantee and does not constitute investment advice.
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Düsseldorf
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