The case for multi-sector income strategies
This year, fixed income markets have exhibited elevated levels of interest rate volatility, whereas credit spread volatility has been more contained. This backdrop is a natural consequence of the higher nominal growth environment that authorities are incentivised to maintain in a bid to deal with persistent structural deficits. The…
Continue Reading
Subscribe to unlock the full article and access premium financial content.
Click here to read the full story: Union Bancaire Privée

