Digital version of government bonds
A Trump presidency means many things. For bondholders, the key risk is the increased rates volatility through President Trump's tariffs and policy announcements via social media platforms. Against this backdrop, Fidelity fixed income managers Kris Atkinson and Shamil Gohil, highlight why they continue to find the best risk-adjusted opportunities in the front end of the Sterling credit curve and why they remain overweight this segment of the market in our all-maturity portfolios.
Ahead of Investment Week's Funds to Watch conference, Capital Group's Alvaro Peró Gala, explores diversification, resilience and portfolio stability in 2025
'It is all about what is currently priced in'
High purchases expected in February
Green bond issuance hit $561bn
‘One bond market open to all investors’
Part of wide-ranging market reforms
Includes sterling corporate bonds