Description
Volatility will remain for a while in the equity and fixed income worlds. However, thanks to the action and coordination of central banks, massive debt issuance in Europe and in the US eased trading for both buying and selling sides. The Covid-19 crisis led to sector and rating fragmentations and liquidity management is the top priority concern. This new episode of Blue Convictions special Covid-19 series highlights the key elements to monitor in the fixed income field, especially in Europe, with Eric Brard, Head of Alpha Fixed Income, as a guest speaker. Do potential opportunities exist in the € credit market? What are the latest news about Coronabonds and TLTRO channels? Alongside M. Brard, Monica Defend, Global Head of Research gives her answers. As usual, both experts are interviewed by Jean-Jacques Barberis, Head of Institutional and Corporate clients coverage.
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DISCLAIMER: This podcast is only for the attention of “Professional” investors as defined in Directive 2004/39/EC dated 21 April 2004 on markets in financial instruments (“MIFID”), investment services providers and any other professional of the financial industry. Views are subject to change and should not be relied upon as investment advice on behalf of Amundi.
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