Webinar: Rising Bond Yields – Implications and Opportunities

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

 

Disclaimer:

This video may not be copied without the prior consent of the issuer Manning Asset Management Pty Ltd AFSL 509 561, ACN 608 352 576. This podcast is intended for use only by persons who are ‘wholesale clients’ within the meaning of the Corporations Act. It is intended to provide general information only and has been prepared without taking into account any particular person’s or entity’s objectives or needs. Investors should, before acting on this information, consider the appropriateness of this information having regard to their own situation. While due care has been taken in the preparation of this podcast, no warranty is given as to the accuracy of the information. Except where statutory liability cannot be excluded, no liability will be accepted by Manning Asset Management for any error or omission or for any loss caused to any person or entity acting on the information contained in this podcast. We do not guarantee the performance or success of an investment and you may lose some or all of the capital invested. Past performance is not a reliable indicator of future performance.

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