With the historic low in interest rates and a changing geopolitical landscape, institutional asset owners are under immense pressure to search for yield from their Fixed Income strategies whilst managing unknown risks. In reaction, emergence in new and innovative solutions, including multi-credit funds, factor based fixed income strategies and global Fixed Income solutions, have brought to market options many institutional investors are yet to explore.
The annual Fixed Income Investment Strategies, Europe 2017 report, will bring together heads of investment, pension managers, trustees, consultants and private wealth managers, to examine the impact of monetary policy changes in 2017, effect of European elections on Fixed Income markets, new portfolio additions, innovative technology as well as the role of emerging markets in a balanced portfolio.
With less than 18 months to go until formalisation of the UK’s exit from the EU, investors are preparing for more market turbulence amid political uncertainty in the coming months.
Many investors are taking the opportunity to add ‘safe haven’ assets to their investment portfolios, including UK and overseas property assets.
The 4th annual Investing in Property, Europe 2017 report brings together pension plans, insurance funds, foundations and institutional investment groups to assess the growing opportunities in property investing, as the UK enters a post-Brexit Referendum period and European economies respond to the uncertain market environment.
Ben is a full-time B2B Content & Events Producer, specialising in private markets.