Ben Caron, CFA, Co-Portfolio Manager of the Virtus Low Duration Income Fund, Newfleet Asset Management
An in-depth look at this conservative multi-sector strategy which focuses on fixed income segments with higher quality and liquidity. Reprinted from Ticker.com.
Opportunities, concerns, and possible surprises with upside potential for the year ahead, as viewed by Newfleet’s sector specialists.
Bond market liquidity has not declined to the worrisome extent the media portrays. While the situation requires close attention, there’s no need to panic, and may even present opportunities for value investors.
Newfleet Asset Management
Frank Ossino, Newfleet’s bank loan sector head, says liquidity has improved dramatically for bank loan market.
Newfleet offers a “quick” reaction to weekend developments out of Greece.
Past performance is not a guarantee of future results.
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