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2021 Convertible Market Outlook

February 2021 / Jon Lin / Category II, Uncategorized
2021 Convertible Market Outlook

It was the best performance of the convertible asset class since 2009. We expect convertibles to once again outperform most other asset classes.

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Convertible Bonds – An Investment Solution for Insurance Portfolios

September 2020 / Jon Lin / Category II, Convertible IQ, Uncategorized
Convertible Bonds – An Investment Solution for Insurance Portfolios

Benefits of Convertible Bonds for Insurance Investors: Capital Efficiency, Diversification, Interest Rate Sensitivity, Asymmetry, Risk Management, Investment Grade

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Convertible Bonds: 2020 Mid-Year Outlook

July 2020 / Jon Lin / Category II, Convertible IQ, Uncategorized
Convertible Bonds: 2020 Mid-Year Outlook

Our outlook for convertible bonds for the second half of 2020 remains constructive. Convertibles provide exposure to fast growing, higher beta companies in the Technology and Healthcare space, with meaningfully truncated downside and reduced risk.

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Convertible Bonds: A Compelling Opportunity in a Period of Extreme Uncertainty

April 2020 / Jon Lin / Category II, Convertible IQ, Uncategorized
Convertible Bonds: A Compelling Opportunity in a Period of Extreme Uncertainty

Ravi Malik, CFA, Portfolio Manager and Principal walks the audience through the opportunity and outlook of Convertible Bonds in this period of extreme uncertainty

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How to Get It Wrong With “Low Volatility” Equity Strategies

February 2020 / Jon Lin / Category II, Uncategorized
How to Get It Wrong With “Low Volatility” Equity Strategies

Low volatility strategies serve as a good alternative for investors wanting a tilt in equities, as the lower portfolio volatility often helps the portfolio resist market uncertainty. These strategies have garnered significant investor attention and growth in assets.

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Insights

  • 2021 Convertible Market Outlook
  • Convertible Bonds – An Investment Solution for Insurance Portfolios
  • Convertible Bonds: 2020 Mid-Year Outlook
  • Convertible Bonds: A Compelling Opportunity in a Period of Extreme Uncertainty
  • How to Get It Wrong With “Low Volatility” Equity Strategies

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