In the low interest rate environment, investors are facing the need to accept more risk. High-yield bonds have therefore become the focus of many institutional investors. But the market environment is unclear. How fast will the global economy recover from Covid-19? Will inflation return and interest rate risk rise? What impact will fiscal and monetary measures have on the high-yield bond market? Europe or emerging markets – where can investors find investment opportunities in this situation? We discuss the topic with two renowned experts.
Participation exclusively for professional investors from Germany, Austria and Switzerland.
All presentations will be held in English.