Portfolio Allocation Summary
Two Near-Term Risks
There are two key risks that could derail a bear-flattening of the yield curve. The first is a Trump election victory, the second is a flaring of stress in the non-U.S. banking sector.
Interested in reading this report?
To access the full BCA Research report, request a complimentary copy
BCA Research | US Bond Strategy
This service assumes the posture of a US fixed-income portfolio. We make recommendations for portfolio duration and fixed-income sector allocation.
Stay Connected with BCA
Get our latest events and research insights delivered to your inbox.