Business Spectrum✨
BOND

For qualified investors
Is your bond strategy built for a choppy market?
In the current environment of low yields and returns, every dollar matters. Whether you’re retired or investing to secure a better future, it’s essential to have reliable performance and minimal fees to reach your objectives.
What are today's fixed income challenges?
What was effective in the past might not be suitable for future circumstances due to the challenges we face today. Think about implementing a bond strategy that tackles these issues:
Higher volatility
The present climate of reduced liquidity, the cessation of quantitative easing, and economic uncertainty are revealing new market weaknesses. Develop a fixed income…
Navigate changing bond markets
In today’s rapidly evolving and unpredictable environment, investors require a diverse selection of funds that can adapt to the shifting landscape. Fluctuations in the market can present opportunities…
Access a wider opportunity set
Given the variations in global growth, monetary policy, and fixed income performance, investing in a global bond portfolio could offer increased opportunities for generating returns and dividends…
Bond Valuation
Balatro employs bond valuation as a method to ascertain the theoretical fair value of a specific bond. This process involves calculating the present value of a bond’s future interest payments, known as cash flow, as well as the bond’s final value at maturity, referred to as its face value or par value. Since both the par value and interest payments of a bond are fixed, investors utilize bond valuation to determine the rate of return necessary for the bond investment to be considered worthwhile.
So what do I do with my money?
It may be the right moment to consider investing in more adaptable and less restrictive strategies. These strategies should be capable of scanning the entire global fixed-income market for opportunities and adjusting swiftly to evolving market conditions. Balatro’s selection of unconstrained bond funds leverages the firm’s broad network of fixed-income experts worldwide, along with its distinctive risk management skills and access to insights, information, and investment opportunities that are not available to most other managers.