Bonds are being seen as a risky asset: Fund Manager

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M&G Fund Manager Eric Lonergan takes a look at the recent movements seen in global markets in relation to the bond market, with comment on strategy and portfolios.

About The Author

Eric Lonergan is a macro fund manager, economist, and writer. His most recent book is Money (2nd ed) published by Routledge. He is also a supporter of Big Issue Invest (BII), the investment arm of The Big Issue, and is one of the initial limited partners in BII’s Social Enterprise Investment Fund LP. In a personal capacity, he makes direct investments in social enterprises. He also supports and advises The Empathy Museum.