The transition to a new economic landscape has kept fixed income fund managers on their toes. Beyond the mere shift from low to high interest rates and related uncertainty, this transition presents a number of complexities. Fund and risk managers are assessing key market events and engaging in discussions regarding the adjustments needed in their day-to-day operations to navigate this evolving market regime. Looking ahead, what are the factors lurking beneath the surface and what practical actions must be taken to anticipate the looming challenge of the corporate maturity wall?
Partner
Chief Risk Officer
Head of Risk
Head of Management Company
Head of Rates & EM bonds