Why Active Fixed Income Matters More Than Ever

Peter discusses the current fixed income market, tying it to financial conditions and recent FOMC outcomes. Investors can learn to explore opportunities in the primary market and navigate volatility with active management. Despite market fluctuations, there could be potential for active investors to benefit from market movements and identify valuable investment opportunities.

Related Resources
Peter Higgins
Head of Fixed Income | Senior Portfolio Manager, Shelton Capital Management

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.

Shannon Rosic
Shannon Rosic
Director of WealthStack Content and Solutions, Informa Connect

Shannon Rosic is the Director of WealthStack Content & Solutions at Informa Connect. In this role, Ms. Rosic supports and drives the omni-channel growth and development of WealthStack, the fastest growing and most credible event dedicated to technology in the wealth management industry.  She also serves as the market-facing representative for the group, and regularly hosts webinars, podcasts and video series.

Why Active Fixed Income Matters More Than Ever
Next up
Navigating the Sustainable Investing Landscape in 2024
Fed Hikes Are (Almost) Done. Now What?
Navigating Real-Time Uncertainty
“Income” is Unlocked with Fixed Income
© 2021 Informa USA, Inc., All Rights Reserved | Privacy Policy | Terms of Service