How to Profit from Historical Bond Market Performance
How to Profit from Historical Bond Market Performance
Every bond investor faces four key risks: price risk, interest-rate risk, inflation risk, and credit risk.
October 2024 marked a year since the end of the worst bond market performance in recent history. While the market has since rebounded, the same major risks still exist. What lessons can investors learn to position their portfolios to be more resilient against these risks in the future?
Our latest report examines the performance of the bond market, including the relationship between duration and each risk, the Federal Reserve and treasury yields, historical data analysis, and more.
Download the report to learn how to better invest in the bond market.
What's Inside
What's Inside
- Explore data analysis and visualizations of historical bond market performance
Understand each major risk that bond investors should consider with in-depth explanations
- Discover our analysts’ recommendations for navigating risks and enhancing your fixed income strategy