Name
How to Effectively Navigate Changing Market Conditions Through an Effective Risk Management Approach and Nonetheless Find Attractive Opportunities in European Corporate Bonds
Date & Time
Thursday, September 19, 2019, 10:10 AM - 10:30 AM
Josef Helmes
Description
With a late credit cycle looming and trickier market conditions ahead what should European investors be thinking. This may not be the time to over-stretch for yield, as a portfolio of well managed corporate bonds can deliver solid risk-adjusted returns. ESG analysis when embedded in the credit research process can aid quality security selection over the long term.
Location Name
Zurich