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Roni Green from GF Asset Management dives deep into opportunities in global credit markets and his Global Yield Opportunity Fund. He satys the fund delivers absolute returns of 8 to 12% per annum. With high base rate offerings like Amazon, Disney and Microsoft, investing in this market seems like a no-brainer, he says. He also highlights the differences in the banking structure in the US and Australia, discussing the lending process in the corporate bond market. Roni believes 2024 could potentially deliver equity-like returns.

Chris Scarpato of Alvia Asset Partners talks the unique strategy behind managing family office investments, the focus on preserving multi-generational wealth and the bespoke approach to investing across all asset classes. Scarpato's 2024 asset class predictions: caution on US equities, increase in exposure to fixed income and continued value in listed property.

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Why are yields jumping higher and higher?

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Is the market hinting at a slowdown?