Bonds have never been more expensive. Investors face historically low yields, high duration risk, tight spreads and signs of inflation across many sectors of the economy. The most conservative asset class contains much more risk than investors may realize. Financial professionals are asking themselves …
In this webinar, Steve Brown (Assistant CIO and Portfolio Manager – Guggenheim) and Jack Chee (Portfolio Manager and Head of Fixed-Income Strategies – Litman Gregory) will take attendees on a tour through the fixed-income universe, discussing the relative risk/reward across subcategories while exploring alternative areas to help clients de-risk their bond allocations.