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Global fixed income markets have seen repricing recently driven by geopolitical tensions, rising energy prices, and upward pressure on interest rates, highlighting the value of investing across the spectrum of global credit.
This is where multi-asset credit (MAC) strategies have the chance to shine, thanks to their flexibility to allocate to assets dynamically, potentially offering a higher income than single sector portfolios while keeping risk in check.
So how are asset managers and asset owners approaching the opportunity set in multi-asset credit?
Thursday 25th June 2026
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