US fixed income outlook for 2017


Chorlton: ‘Markets are transitioning away from an environment of excessive central bank stimulus, subdued inflation and austerity towards one of reflation and more expansive fiscal policy.’

ANDREW Chorlton, head of US Multi-Sector Fixed Income for Schroders Investment Management shares his 2017 outlook on the US multi-sector fixed income with StarBizWeek.

Among his key conclusions are that politics and policy will drive US bond markets in 2017.

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Business , Andrew , Chorlton , bonds

   

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