After a tough 2022 year for stocks and bonds because of record interest rate hikes which impacted markets bearishly, where will markets go from here for the remaining of 2024 and early 2025?
What are the potential strategies needed for this pivot in interest rates in addition to the expected changes in global geopolitics and its risk with the change in presidency in the USA?
Join us in this webinar "Bond Market Outlook 2H 2024: The Road Ahead for Fixed Income" as we invite Mr Michael Chang, Chief Investment Officer, Fixed Income of RHB Asset Management Sdn Bhd, Malaysia to share with you on the outlook for bond markets in the second half of 2024 given the shift in the US rate action going forward.
In this 1-hr webinar, you'll learn:
✅ What is the latest development coming from the US Fed who is key in setting global interest rates?
✅ What does it mean for investors who will be experiencing this pivot point in interest rates?
✅ Learn about bonds as an asset class that is important in a global rate cutting cycle
✅ Learn about the benefits of bond investments. Most times, bonds take a back seat in most investors’ mind despite its consistency in returns over a period of time
✅ What are main economic indicators that are relevant for bond investments?
After the presentation by the speaker, a question and answer session will follow. Seats are limited. Log in to the webinar early to secure yourself a spot!
Speakers: Michael Chang Wai Sing - Chief Investment Officer, Fixed Income, RHB Asset Management Sdn Bhd, Malaysia; Shane Choo - Moderator, LifeChamp.