As global fixed income markets transition from the "Goldilocks" regime of strong growth and declining inflation to a more uncertain macroeconomic environment, Canadian investors face unique challenges and opportunities. With persistent inflation risks, shifting central bank policies, and global geopolitical uncertainty- understanding the implications for Canadian fixed income markets is critical. Join us for an insightful discussion on how Canadian asset owners and institutional investors can navigate this evolving macro regime and position portfolios for resilience and long-term success.