It can be difficult navigating the impact of volatile markets on client’s income-producing securities. We believe a multi-sector fixed income approach—targeting inefficiencies in preferreds, hybrids, and securitized markets—offers a powerful way to navigate volatility and enhance the resilience of your clients’ income.
Topics to be covered:
- Diversify beyond traditional bonds by tapping into inefficiencies in preferreds, hybrids, and securitized markets.
- Ways to enhance income stability in volatile markets with a flexible, multi-sector approach to fixed income.
- Mitigating risk through broader exposure and active management across multiple credit sectors.
Accepted for 1 CFP/ IWI / CFA CE Credit
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