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Finding Carry In Global Fixed Income

by Ryan Swift, Chief Strategist   Robert Timper, Chief Global Fixed Income Strategist  

Interest rate volatility is very low across developed market fixed income. Investors should maximize the carry in their portfolios to outperform in a low rate vol environment.

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BCA Research | US Bond Strategy

This service assumes the posture of a US fixed-income portfolio. We make recommendations for portfolio duration and fixed-income sector allocation. 

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