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7 min
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Flexibility with focus: how to position fixed income for volatility

Portfolio Manager Martin Harvey and Investment Director Marco Giordano explore how a focused use of flexibility can help position fixed income portfolios for volatility.

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7 min
Article
2026-04-30
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7 min
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Going their separate ways: Capitalizing on bond divergence

Our fixed income experts discuss how to position portfolios for a world of uncertainty and divergence, exploring key themes and evolving bond opportunities for 2025.

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7 min
Article
2025-12-31
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.