Multi-sector fixed income in fluid times - Jeff Moore and Michael Plage

June 25, 2020

Fixed income portfolio managers Jeff Moore and Michael Plage discuss what gives Fidelity an advantage, and how they're positioning their funds to capitalize on the tremendous opportunities lately, especially in the investment grade sector. Jeff and Michael explain where they are going for yield, now that government bond yields around the world are near zero and likely to remain there for the long term, and there are trillions of dollars sitting on the sidelines in money market earning nothing. Also, as we’ve seen a trillion dollars of supply in the investment grade corporate bond market, Jeff and Michael look at the opportunities the recent market volatility presented them with.

Recorded on June 17, 2020.