Bringing Balance to Income Portfolios - How to Take Control of Your Bond Market Risk
IN THIS PAPER: Each of the major bond market risks—interest rate and credit—pays off over time. But they usually don’t pay at the same time. In this paper, we’ll take a look at why managing both risks in a single portfolio may offer income-oriented investors a better trade-off between risk and return.
Loading PDF
More from AB (AllianceBernstein L.P.)