Global fixed income roundtable - Jeff Moore and Michael Foggin

May 19, 2020

As the fallout from COVID-19 continues to drive market uncertainty, portfolio managers Jeff Moore and Michael Foggin discuss their fixed income market outlook and where turbulence could be creating opportunity for investors. The top three variables Jeff is currently looking at are the support of federal banks, how we exit high volatility, and what role demographics will play. Michael is looking for opportunities with equity market activity and rating agency updates. 

Recorded on May 12, 2020.