Investment Strategies for a Rising Interest Rate Environment
After a prolonged period of low and even negative interest rates across major economies, government bond yields have made a decisive move upwards in recent quarters.
The US Federal Reserve has increased official interest rates three times since December 2015, its first tightening cycle in a decade. And with signs that inflation is on the rise worldwide and further rate rises are in store, investors are in search of suitable investment strategies across asset classes and fund types.
Raphaël Dieterlen, Guillaume Lasserre and Jean-Marc Stenger (CIO’s of Lyxor’s Passive, Active and Alternative management, respectively) share their views on the most appropriate investment strategies for a rising rate environment. How can investors protect themselves in an environment that’s potentially unfriendly for asset prices? And what are the best ways to generate gains as rates rise?
Read the complete white paper at the link beneath Related Files