Fixed Income Market Focus
Session Two: How fixed income funds are navigating geopolitical uncertainty
11 June 2026 | London
Part Two of Investment Week’s Fixed Income Market Focus series will explore how different parts of the fixed income market have been impacted by the Iran crisis and escalating global geopolitical tensions.
Our expert fund manager speakers will reflect on how the conflict has affected their outlooks for the rest of the year and beyond, especially in terms of inflation and interest rates.
They will share how their portfolio positioning has been shifting to protect portfolios in the current volatile climate and take advantage of opportunities, as well as key issues investors should be aware of when navigating the months ahead.
Our speakers will also explain how their strategies may work in clients’ portfolio.
There will be plenty of opportunities to network with fixed income specialist peers and benefit from CPD points
Reasons to attend Fixed Income Market Focus:
Boardroom style sessions allow for in depth information sharing and opportunities to enter discussions
The opportunity to ask presenting fund managers any questions you have
Network with like-minded peers
All Market Focus events are CPD certified

Additional Dates in the Series
Fixed Income Market Focus October 2026 - 1 October 2026, London
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