David Albrycht, CFA, president and chief investment officer of Newfleet Asset Management discusses the benefits of a multi-sector bond portfolio, particularly during times of stock market volatility. Dave emphasizes Newfleet's relative value approach and the importance of issue selection, identifies where Newfleet is finding opportunities, and why active management is so important in this asset class.
Recorded January 6, 2020
The commentary is the opinion of the Newfleet Asset Management. This material has been prepared using sources of information generally believed to be reliable; however, its accuracy is not guaranteed. Opinions represented are subject to change and should not be considered investment advice or an offer of securities.