This month we look past the initial implementation of the protection strategy to the ongoing management.
In this session replay from Australia EQD 2021, Josh Heller moderates a panel on systematic investing and diversification.
Implementing protection should not be a decision made in isolation. Instead it is prudent to think about protection in context of broader asset allocation considerations.
Victor Rodriguez and Pete Robinson discuss what the end of JobKeeper means for investors and outline where they do (and don’t) see opportunity ahead.
Although FX is not a perfect hedge, it is worth considering as a part of an overall portfolio protection strategy.
We’re feeling pretty queasy about 2021. Now to be fair, us fixed income managers are rarely the glass-half-full types.
Big businesses like Challenger have an important role to play in society. There’s a moral imperative to work for the good of society.
Victor Rodriguez from CIP Asset Management Fixed Income goes INDepth about ‘The Merits of Investing in Credit’ with Peter White from The Inside Network.
In this video, Peter White from The Inside Network asks the Head of Fixed Income a series of questions about the business, the year that was and what opportunities are ahead.
We turn our focus to a more direct form of portfolio protection using options and ultimately look at how to combine all of these strategies in a portfolio context.
Leading alternative credit manager CIP Asset Management (CIPAM) has entered the retail fixed income funds management market, with the launch of a retail version of the flagship CIPAM Credit Income Fund.
The Fixed Income team have put their portfolio managers in the hot seat to come up with questions they would ask a potential manager