Q2 2024 Update - Global Strategic Bond Fund
Hear from David Roberts, co-portfolio manager of the Nedgroup Investments Global Strategic Bond Fund as he provides an update on key performance drivers and changes to the fund over the last quarter.
The Nedgroup Investments podcast offers a unique space where you can delve deeper into the world of investing. Our episodes provide valuable insights into the expertise of our fund managers and the funds they oversee. We aim to keep you informed about crucial developments impacting the investment landscape and ensure that you stay up-to-date. Click one of the links below to listen to our Investment Insights podcast on your preferred platform.
Hear from David Roberts, co-portfolio manager of the Nedgroup Investments Global Strategic Bond Fund as he provides an update on key performance drivers and changes to the fund over the last quarter.
Why the bond market could feel like déjà vu all over again
Coming to the end of the monetary cycle, there has been a huge dispersion in fund returns in the unconstrained bond sector – a major concern to some of its biggest long-term supporters. With interest rates at rock bottom for over a decade, many bond investors have pursued returns in riskier parts of the market.
For a better experience of the Nedgroup Investments website, please try the latest version of these browsers