Opportunities in Liquid Credit

The rapid changes in the macro environment in recent years with inflation taking off and rates following has put fixed income investment firmly back on investors’ agendas.

But where are the best risk/ return opportunities.  In this in-person panel we bring together leading experts from asset managers and the buy-side to discuss the big issues, including:

  • Opportunities in investment grade, high yield and stressed credit,
  • The rates environment in Europe and the US and how this affects the investment opportunity set,
  • Sectoral opps across geographies,
  • Covenants and risk mitigation,
  • ESG and engagement in credit,
  • ……and much more

This event an in-person roundtable and by invitation only.   If you would like to be a panellist, please contact us!

Video highlights will be hosted on the thevirtualpanel.com shortly after the event.

Barings PGIM Investments Ninety One
Sponsors Barings PGIM Investments Ninety One
With panellists Cazenove LGIM Columbia Threadneedle Investec Wealth Fidelity