Bond market volatility explained - Jeff Moore

March 25, 2020

Jeff Moore, portfolio manager, shares his fixed income perspective as markets struggle for stability. Jeff believes we are in the tail of extraordinarily high volatility. Jeff tells host Dave Bushnell that this time of volatility is an exciting opportunity to turn over every rock and look at names which may have been too rich in the past, but are now a possibility.

Recorded on March 20, 2020.

Play this podcast on Podbean App