As investors manage threats from inflation and rising rates, a multi-sector approach can help investors outsource the complexity of managing credit and duration risks while finding opportunities for yield. Given the challenges of the current market environment, a multi-sector portfolio manager can dynamically allocate exposures to various sectors based on opportunities in the market and potentially deliver strong returns.
This commentary is the opinion of Newfleet Asset Management. This material has been prepared using sources of information generally believed to be reliable; however, its accuracy is not guaranteed. Opinions represented are subject to change and should not be considered investment advice or an offer of securities.
Past performance is no guarantee of future results.
All investments carry a certain degree of risk, including possible loss of principal.