Trade wars, geopolitical tensions and conflicts, among other influences, have caused significant volatility in global credit markets, creating both risk and opportunity for investors.
We welcome Andrzej Skiba, CFA, Managing Director and Head of U.S. Fixed Income on the BlueBay Fixed Income Team at RBC Global Asset Management (U.S.) Inc. with host, Jeff Roberts, CFA, Institutional Portfolio Manager at PH&N Institutional, for a discussion on the current state of the global credit markets.
Our speakers will distill the credit investment landscape; identify pivotal risk factors rooted in macroeconomic developments, liquidity challenges, and market valuation; and uncover opportunities for evolving credit strategies.