Episode 132

full
Published on:

6th Feb 2025

Macroeconomic outlook for 2025 - Fixed income

The Australian fixed income market has had a contrasting year in 2024, rewarding those that held long-term bonds but not the ones in the opposite. With increasing tension coming from all around the world, how will the local bond market perform in 2025? Speaking with Morningstar associate portfolio manager Ameya Hattangadi, he dives deep into possible effects from the external and internal factors that may juggle the sector’s performance.

Show artwork for Financial Standard Podcast

About the Podcast

Financial Standard Podcast
Take the lead.
The weekly Financial Standard podcast covers the latest developments in finance, investment trends, and economics that are shaping the future of Australia’s wealth management landscape by talking to leading professional voices in Australia and from around the world. Brought to you by Financial Standard. Take the lead.