High Yield Investing: Taking an active approach with sectors
Join JoAnne Bianco, CFA of BondBloxx Investment Management, and Paul Matlack of Macquarie Asset Management for a discussion on the compelling case for active high yield strategies. Over the last 26 years, the U.S. high yield market has experienced wide variations in returns across sectors, a trend we anticipate persisting. This volatility presents an opportunity for investors to strategically navigate high yield industry sectors, capitalizing on market inefficiencies and trends. Learn more from experienced fixed income managers at BondBloxx and Macquarie Asset Management to elevate your bond portfolio.
Topics will include:
- The case for investing in high yield and seeking outperformance through industry sectors.
- Why active high yield strategies may work in this higher for longer interest rate environment.
- How to express your views on specific sectors with an active investment strategy that overweights and underweights sectors expected to out- or underperform.
Accepted for one hour of CFP/IWI/The American College Board CE credit for live and on-demand attendees
CFA Institute members are encouraged to self-document their continuing professional development activities in their online CE tracker.
JoAnne Bianco, CFAPartner – Client Portfolio Manager
BondBloxx Investment Management
Paul Matlack, CFAManaging Director, Senior Client Portfolio Manager
Macquarie Asset Management
Tom LydonVice Chairman