How can investors profit from investing in fixed income factor strategies? – Part 2 of 2

How can investors improve the risk/return characteristics in their fixed income portfolios? What is the best way to cover different market environments? In an interview with Jonathan Clenshaw, Dr Harald Henke, Head of Fixed Income Strategy, provides answers and compares systematic and fundamental approaches with regards to performance, return patterns and factor weighting.

How can a multi-factor approach be an additional source of diversification for fixed income investors? What diversification benefits can be expected from combining different approaches? In part 1 of the interview with Jonathan Clenshaw, Dr Harald Henke, Head of Fixed Income Strategy, explains the importance of credit factor investing and what can be a good starting point for more stable returns.

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