Presentation overview 

With economic headwinds building and in a higher for longer environment, how should investors navigate what remains an uncertain outlook for fixed income markets?  Fidelity UK fixed income portfolio managers Kris Atkinson and Shamil Pankhania will provide expert insight into how corporate bond investors should think about managing interest rate and credit risk as market conditions continue to shift. Within this, they will highlight the importance of focusing on quality issuers in order to deliver an attractive level of income, alongside downside protection and diversification from equities.

 

 
 

Learning outcomes

 
 

One.

 

Find out how central bank policy, inflation and growth are likely to evolve in 2024. 

 

Two.

Learn more about the benefits of high-quality investment grade corporate bonds in this context.

 

Three.

Identify which credit sectors offer the greatest opportunity in 2024 given the current inversion of the yield curve.
 

 
 
   
 

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