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Macro to Micro: ÂÒÂ×¶ÌÊÓÆµ’ 2H24/1H25 Outlook Webinar

Summary

In the latest episode of “Know More. Risk Better.”, ÂÒÂ×¶ÌÊÓÆµ’ strategists covering the U.S., Europe and EM unpack their mid-2024 to mid-2025 market outlook. They outline their preference for fixed over floating rate product, duration over credit risk and provide their rationale for recommending more defensive portfolio positioning. During the webinar they poll the audience to get a sense of client positioning and perception of economic and financial market risks. Finally, they answer top-of-mind questions from our broad base of global fixed income market clients.

Analysts

Winnie Cisar 
Global Head of Strategy

Zachary Griffiths, CFA
Head of IG & Macro Strategy

Zachary Griffiths, CFA
Head of European Strategy

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