Panel: Investing in an Uncertain Interest Rate Environment
The fixed income market is experiencing substantial transformations due to global economic shifts and change in tax regime. Since the COVID-19 pandemic, the investment landscape has seen marked improvements in liquidity and a more favorable credit outlook. However, interest rate volatility remains a central concern. Amidst competition from traditional investments and a thriving equity market, a distinguished panel of fixed income experts will explore the challenges and opportunities within this sector. They will also discuss how fixed income investments can still continue to add value in an investor’s portfolio.