Recent domestic bond market volatility has reverberated through many asset classes causing investors to question their portfolio allocations. While some aspects are often sensationalised, significant shifts are occurring within the Australian bond markets that investors need to understand and consider when managing their portfolios. Manning Asset Management, a specialist Fixed Income and Credit manager, is hosting a webinar to discuss:
• What are these shifts occurring within the Australian Fixed Income market;
• What are the implications for investors with an allocation to Fixed Income;
• What are the key economic factors they are watching to assess this changing landscape;
• How are they positioning the Fund given these changes and economic outlook
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