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Active Advantage in Fixed Income

Listen to portfolio manager Celso Muñoz as he breaks down four key reasons why active managers have a real edge in the bond market.

Key Takeaways
  • Active management may provide an advantage to bond investors due to the level of complexity that exists in the market, the challenge of an over-the counter market, the broad opportunity set, and the ability to invest in the new issue market.
  • The added degree of complexity in the fixed income markets favors a deep research and trading effort that can analyze the distinction between bonds.
  • Active managers can invest in bonds that are outside of an index and help drive better returns.