How do Fixed Income Strategies Fare in Periods of Crisis?

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Accepted for 1-hour CFA® credit


Despite a rise in use, there is still some investor uncertainty around how fixed income ETF strategies hold up during periods of increased volatility. Join us to explore how fixed income ETFs have performed in various market cycles and how that performance may help inform future risk management decisions.

Topics will include:

  • How both equity and fixed income index-based strategies have behaved in prior periods of market volatility
  • How credit conditions and rating migrations can potentially affect the performance of ETF strategies
  • Impact and considerations of ETF liquidity on portfolio construction
Submit your questions during the live Q&A session following the webinar.

Speakers

Jessica Clancy  
 
Jessica Clancy
 
Capital Markets Specialist
 
Vanguard | ETF Capital Markets
 
Wayne Dalton  
 
Wayne Dalton
 
Senior Manager, U.S. Insurance Solutions
 
S&P Global Market Intelligence
 
Zandra de Haai  
 
Zandra M. de Haai, CFA
 
Global Head of Fixed Income Indices
 
S&P Dow Jones Indices
 
Matt Padberg  
 
Matt Padberg, CFA
 
Consultant
 
Cardinal Investment Advisors

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