The Return of Prepayment Risk Management Podcast Por  arte de portada

The Return of Prepayment Risk Management

The Return of Prepayment Risk Management

Escúchala gratis

Ver detalles del espectáculo

Acerca de esta escucha

Welcome to Bond Investment Mentor! In this episode, Chris discusses prepayment risk, why it may be making a comeback, and how to manage this risk in investment portfolios.

In this episode:

  • Celebrating five years of BIM1 (1:06)
  • Bond market update (2:40)
    • Bond rally and interest rates
    • Fed Chair Powell comments
    • The importance of "strategic patience"
  • What's happening with the GDPNow model? (7:30) - Check out Atlanta Fed GDPNow
  • The return of prepayment risk management (12:32)
  • How to work with Chris (36:00) (LEARN MORE)

If you have questions about anything covered in this episode, please email me at Chris @ BondInvestmentMentor.com.

Do you know someone who could benefit from this information? Please share this episode and podcast with them!

You will find more articles, tips, and resources about fixed-income investing and portfolio management at BondInvestmentMentor.com. Check it out!

Let’s Connect via Social Media!

LinkedIn: Christopher Nelson, CFA

Todavía no hay opiniones