Unlocking Insights on Credit Opportunities across Public and Private Markets

Tuesday, 9 July 2024, 11:15

Join Ben Santonelli, Lead Portfolio Manager of Polen Capital's Credit Opportunities Strategy, as we delve into the dynamics of interval funds, strategies for navigating interest rate fluctuations in bond portfolios, active management approaches at Polen Capital, assessing risks in high yield bonds, business valuation insights, and analysis on market spreads.
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Unlocking Insights on Credit Opportunities across Public and Private Markets

Key Highlights:

Explore interval funds and bond allocation strategies

Risk Management:

  • High yield bonds involve heightened risk levels
  • Polen Capital's active management techniques

Assessment of business valuation methods

Market Analysis:

  1. Spreads: Key factors influencing spread levels
  2. Trends in bond markets

Join us for an insightful discussion on credit opportunities in today's markets.


This article was prepared using information from open sources in accordance with the principles of Ethical Policy. The editorial team is not responsible for absolute accuracy, as it relies on data from the sources referenced.


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