Episode 62: Liquidity risk in fixed income markets episode artwork

EPISODE · Sep 22, 2020 · 38 MIN

Episode 62: Liquidity risk in fixed income markets

from Seeing Beyond Risk / Voir au-delà du risque · host CIA-ICA

Liquidity risk strategies can present challenges for portfolio managers, even more so in 2020, as COVID-19 has had its own disruptive impact on financial markets. Anthony Di Ginosa, CFA, joins us to discuss liquidity risk, the impact of recent Bank of Canada actions, and why management of this risk is important for retirement trusts. (In English)

Episode metadata supplied by the publisher feed · Published Sep 22, 2020

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Episode 62: Liquidity risk in fixed income markets

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This episode was published on September 22, 2020.

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