Special Report: Fixed Income Strategies

Stockholm (HedgeNordic) – Fixed Income, versus fixed beliefs. The challenge is profound. Amid this low-yield, zero-interest rate and highly volatile environment, there is an eternal range of questions outstanding. Amid the uncertainty, there are also enterprising answers and strategic adjustments – as this report demonstrates. All is not bleak, therefore. Necessity, as always, is the mother of invention. In this report, we demonstrate how: A diverse range of fund managers and industry professionals describe new launches, new ideas to tackle old thinking, and their overall vision on a number of instruments comprising the Fixed Income habitat in 2016.

In this special report on fixed income strategies, the objective is to identify and investigate where investors can turn to in the hunt for yield, and which strategies, products and managers may have an edge in this daunting, historically unprecedented zero (if not negative!) interest rate environment.

You can access the complete report here: Fixed Income Strategies and Alternatives in a Zero-Interest Rate Environment


About Author

Kamran has been working in the financial industry since 1994 and has specialized on client relations and marketing. Having worked with retail clients in asset management and brokerage the first ten years of his career for major European banks, he joined a CTA / Managed Futures fund with 1,5 Billion USD under management where he was responsible for sales, client relations and operations in the BeNeLux and Nordic countries. Kamran joined a multi-family office managing their own fund of hedgefunds with 400 million USD AuM in 2009. Kamran has worked and lived in Vienna, Frankfurt, Amsterdam and Stockholm. Born in 1974, Kamran today again lives in Vienna, Austria.

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