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Loomis Sayles' sector teams return scenarios and relative value recommendations for 2019
Fixed income investors may be stymied by the current mix of interest rate projections and global macroeconomic news.
A buy and maintain strategy focuses on a desired level of income and aims to ensure the bond portfolio is not impacted by default risk as interest rates rise and economies overheat.
Compared to investment grade bonds, corporate loans provide a sizeable yield pick-up and excellent risk-return characteristics relative to other credit instruments.