Fixed income outlook 2015

For owners of fixed income securities 2014 was a year fraught with surprises, as emerging market debt and sovereign bond rates were hit by factors ranging from the Ukraine-Russia crisis and plummeting commodity prices to euro uncertainty and the emergence of Russia as a possible sixth member of the so-called ‘Fragile Five’

Fixed income outlook 2015

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The ongoing effects make it arguably even harder to speculate on the course that 2015 will take – however, there are indicators if you know where to look.

Click here for the views of three industry experts on what they believe lies ahead for the fixed income market over the next 12 months.

 

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