
Fixed Income Credit Analyst to Bond Manager With Loomis Sayles
Masters in Business
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Managing a Fixed Income Portfolio at Loomis Sayles
The chapter delves into the strategies employed by the team at a fixed income portfolio management firm, managing $74 billion across various product categories such as Core Plus, multi-sector, high yield, and bank loan investing. The discussion emphasizes the importance of individual security selection to avoid permanent losses, the impact of interest rate fluctuations on bond portfolios, and the shift in investment strategies towards considering principal risk in anticipation of rising interest rates.
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