You may have seen headlines: “The Bond Resurgence,” “Bonds are Back,” and “The Year of the Bond” – These sound like poorly written Hollywood scripts, but reality is that fixed income bonds may offer the most-prolonged and best risk-adjusted returns we’ve seen since the Global Financial Crisis.
Peter Higgins has over 25 years of experience in fixed income investing, most notably as Partner & Lead Portfolio Manager at Ares Management and BlueBay Asset Management. Previously, Peter specialized in global leveraged finance at Deutsche Bank AG, Goldman Sachs & Co. and Credit Suisse. Peter earned a B.S. in Economics-Political Science from Columbia University.
David Armstrong is the director of editorial strategy & operations for Informa’s Wealthmanagement.com, a leading information portal for financial advisors. He’s a longtime business journalist who spent 10 years at Forbes magazine, and previously held reporting positions at Foxnews.com and McGraw-Hill. He is a graduate of the University of Wisconsin-Madison.
Shelton Capital is a multi-strategy asset manager delivering sophisticated investment solutions and acts as a co-fiduciary on employer-sponsored retirement plans as a 3(38) advisor. Founded in 1985 as a fixed income manager, Shelton has maintained consistent investment principles and a steadfast focus on authentic customer service. Shelton manages over $3.1 billion of assets as of 12/31/22.