In the second of a two-part series, Investment Week asks managers for their views on high yield following the sector sell-off in Q3 and how they are gaining exposure.
Breakeven inflation rates are in many cases trading at levels not seen since before the financial crisis.
Carlos Daurignac, a global macro strategist at H20 Asset Management, gives his outlook for the fixed income market for the rest of 2015 and beyond.
Delegates at Investment Week's recent Bond Briefing gave their views on duration positioning, convertibles and the insurance sector.
A wave of risk aversion hit high yield bonds in Q3. Here, fund managers give their views on the sector after the sell-off and where the sweet spots now lie for investors.
Follows Draghi's QE re-examination
Rate hikes are off the table until 2017