Presentation overview 

Focus on Fixed Income 

With the spectre of potentially persistent inflation ahead, being focused on the risks and opportunities in Fixed Income is more important than ever. In the M&G session, we will look at the macro backdrop for bond markets and in this context, touch on the strategies available for this part of your asset allocation.

The value of investments will fluctuate, which will cause fund prices to fall as well as rise and investors may not get back the original amount invested. Past performance is not a guide to future performance.

 

 

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Learning outcomes

 
 

One.

 

Explain the key factors affecting fixed income markets at present and the potential implications for clients’ assets.

 

Two.

 
 

Describe the specific effects of inflation on fixed income portfolios.

 
 

Three.

 
 

Summarise the strategies that can be employed to mitigate against potential down side risk from an inflationary environment.

 

 
 

Fund information

Click here to access more information on M&G's Fixed Income Funds.

 

 

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Any views and opinions are those of the investment manager, unless otherwise noted. This financial promotion is issued by M&G Securities Limited which is authorised and regulated by the Financial Conduct Authority. The company's registered office is 10 Fenchurch Avenue, London, EC3M 5AG. Registered in England and Wales. Registered Number 90776.

This content is related to an investment forum that is to be hosted by M&G Securities Limited, abrdn, Bank of New York Mellon Corporation, Schroders Unit Trust Limited.

United Kingdom(UK): abrdn Investment Management Limited registered in Scotland (SC123321) at 1 George Street, Edinburgh EH2 2LL.  Authorised and regulated by the Financial Conduct Authority in the UK.