What does it mean when we say an active fixed income strategy is “unconstrained”? What difference does it make when a fund is not tied to a benchmark? And what is it about the present moment that could make this an attractive option for navigating market volatility?
To answer these questions and give his insights into what could determine performance in fixed income for the rest of the year, this week we’re joined by Enda Mulry, Portfolio Manager in our Global Bond Strategies team.
This episode is hosted by Andrew Lowry, European Content Manager.
For professional investors only. Capital at risk.
Information
- Show
- FrequencyUpdated twice weekly
- Published12 June 2025 at 07:00 UTC
- Length9 min
- Episode369
- RatingClean