Why Today’s Bond Market Demands Active Management
As the prospect of easy money comes to an end and we are faced with a more challenging bond market environment, investors will have to adapt their fixed-income portfolios to account for a more hawkish Federal Reserve monetary policy outlook.
In this upcoming webcast, Principal Global Investors and ETF Trends will highlight the benefits of an actively managed fixed-income investment strategy that is capable of maneuvering through a quickly changing bond market while helping investors generate attractive yield opportunities along the way.
Dave Nadig, CIO of ETF Trends and ETF Database, will moderate a discussion on:
- An overview of the current bond market environment and how Federal Reserve monetary policy will affect the upcoming market environment
- Why passive indexing could potentially expose bond investors to higher risk and returns
- Why active fixed-income strategies may help investors diversify their fixed-income investment portfolios
Accepted for one hour of CFP/CIMA 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.
Greg Tornga, CFAManaging Director, Portfolio Manager
Principal Global Asset Allocation
Mark Cernicky, CFAInvestment Specialist
Principal Global Fixed Income
Matthew CohenHead of ETF Sales Team
Dave NadigCIO, Director of Research
ETF Trends and ETF Database