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The 2016 CFA Institute Conference on Fixed Income Management questions the effects of global monetary policy divergence, including economic and financial market risks, and how fixed-income strategies can adapt to a new, changing environment. As debt market questions pile up, leading practitioners will meet to discuss the current state of global bond markets, investigate the long-term impact of divergence, and predict the growth path of developed and emerging economies alike. Key topics will include SER, portfolio management, derivatives, and fixed income.