Allianz Global Investors’ April 2025 *Fixed Income Forward* highlights how elevated volatility, trade tensions, and shifting central bank policies are reshaping bond market dynamics and positioning.
Key Insights:
- Fixed income delivered positive returns YTD despite sharp equity selloffs and geopolitical uncertainty.
- Yield curve steepening and tactical duration trades remain core strategies amid volatile rates.
- Corporate credit offers opportunities, with a tilt toward quality issuers and selective high-yield exposure.
Explore the full report for deeper insights into how to navigate today's complex and rapidly evolving bond markets.
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