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Trading through inflation

Many buy-side traders will not have seen an inflationary environment before, and with central banks balance sheet and risk appetite carrying impact along with interest rate, even experienced investors may not have experienced a market facing the volatility predicted for 2022.

Scott Kimball, co-head of US Fixed Income at BMO Global Asset Management, explains how vol has crept into bond markets and how the retail access to bond markets though mutual and exchange-traded funds will affect investor flows and risk.

As a relative value investor, Scott also talks through the pros and cons of accessing liqudity in the primary vs secondary markets.