FIIG Strategy - Reduce reinvestment risk and increase returns - May 2019
by
Jessica Rusit | May 06, 2019
As several bonds approach maturity or call dates over the coming few
months, many investors could be exposing themselves to
reinvestment risk and receiving lower returns by not reinvesting ahead
of time. We look at the benefits of actively managing maturities and
early redemptions to get the most out of bond portfolios.