Balancing Different Risks in Today’s Bond Market

Howard C. Greene, CFA, senior portfolio manager at John Hancock Asset Management, believes the key to navigating bond markets is taking a more balanced approach, ensuring that a portfolio isn’t overly reliant on either the direction of interest rates or a burgeoning economy to generate attractive returns.

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Related: ClearShares Adds Alternative Bond ETF for Rising Rates

For more trends in fixed income, visit the Fixed Income Channel.