World Financial

Investment Grade Debt: The Need for Risk Control and Ballast


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Much has changed in the decade since the Global Financial Crisis. On this episode of the World Financial Podcast, we are joined by Krishna Memani, Chief Investment Officer, and Pete Strzalkowski, Senior Portfolio Manager for the Investment Grade Debt team, to discuss fixed income investing and risk mitigation since the financial crisis, the 10-year anniversary of their Investment Grade Debt team, and what they see on the horizon. Mutual funds and exchange traded funds are subject to market risk and volatility. Shares may gain or lose value. Before investing in any of the Oppenheimer funds, investors should carefully consider a fund’s investment objectives, risks, charges and expenses. Fund prospectuses and summary prospectuses contain this and other information about the funds, and may be obtained by visiting Oppenheimerfunds.com or calling 1.800.CALL OPP (225.5677). Read prospectuses and summary prospectuses carefully before investing. These views represent the opinions of OppenheimerFunds and are not intended as investment advice or to predict or depict the performance of any investment. These views are as of the publication date, and are subject to change based on subsequent developments.
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World FinancialBy OppenheimerFunds Distributor, Inc.