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Navigating Fixed Income with Inflation Hedged Bond Strategies

Topic

Investment Planning

Program ID

334627

Hours

1

Format

Live / Live Webinar

Complexity

Intermediate

Description

Experts will discuss the current fixed income market environment, define and explore the potential impact of reducing rate risk while capturing returns using inflation hedged bond strategies within portfolios and best practices. Panelists will also touch on the possible opportunities and risks of leveraging inflation hedged bonds as a strategy to help reduce potential rate risk while capturing returns, the possible tools and resources to help advisors develop and implement inflation hedged bond strategies within portfolios to help reduce potential rate risk while capturing returns and potential strategies to diversify portfolios.

Learning Objectives

By the end of the session, attendees will understand an overview of the current fixed income market environment, the importance of potential inflation hedged bond strategies when developing future portfolio strategies, the possible pros and cons of reducing rate risk while capturing returns with inflation hedged bond strategies, an overview of different tools and resources that help reduce rate risk while capturing returns utilizing inflation hedged bond strategies and potential strategies to diversify a portfolio.