Making every dollar count. Maximizing yield in a fixed income portfolio
Fidelity’s top ranked fixed income portfolio managers Jeff Moore and Michael Plage dive into a lively discussion and provide valuable insights on how institutional investors can maximize portfolio yield without introducing materially more risk in their plans.
- What levers can be used to manage bond volatility
- How controlling volatility allows for more yield in a plan
- How plans can manage inflation and account for different expectations in global regions
- What challenges lie ahead for plans to maximize income while managing risk