Chris Rands: Investing when central bank policy splinters

25 Nov 2022

Chris Rands, Co-Portfolio Manager of the Yarra Australian Bond Fund, sits down with Andrew Geoghegan from ausbiz to discuss central bank policy dispersion and whether the relief rally in riskier asset classes is helping to revive debt issuance. Chris and Andrew also cover the trends in spread movements and downgrade/upgrades and what those trends mean […]

Chris Rands, Co-Portfolio Manager of the Yarra Australian Bond Fund, sits down with Andrew Geoghegan from ausbiz to discuss central bank policy dispersion and whether the relief rally in riskier asset classes is helping to revive debt issuance.

Chris and Andrew also cover the trends in spread movements and downgrade/upgrades and what those trends mean for investors in other asset classes.