Jon Cunliffe, Charles Stanley’s Chief Investment Officer, Jeremy Spain, Fixed Income Analyst and Garry White Chief Investment Commentator discuss the bond market, it’s liquidity and the current trading environment.
Key learning outcomes include:
- Describe the recent Crises and Global Central Bank intervention.
- Describe the different styles of Quantitative Easing: Fed, ECB, BoE, Japan.
- Explain recent developments in QE due to the spread of COVID-19.
If you are a Financial Adviser and would like to receive a CPD certificate for this podcast, please click here to complete a short questionnaire.
Listen to expert commentary from our research team and analysts, you can subscribe to Charles Stanley Radio on:
Nothing on this website should be construed as personal advice based on your circumstances. No news or research item is a personal recommendation to deal.
Spotlight Session: Bond market resilience
Read this next
Spotlight Session: Vulnerability, rituals and learning to live in uncertain timesSee more Insights