Universal Fixed Income Fund Update August 2015
As most Universal Fixed Income Fund Investors no doubt know from the swirling financial market news, global asset markets have entered a period of increased volatility, caused by a number of factors that are now simultaneously lining up. The factors driving current market conditions have been building up for several quarters, in some cases several years, and we believe this period of heightened market volatility could last through the end of the year.
Looking ahead, investors will be counting on a heavy, steady flow of top-tier data in the coming week to provide greater clarity on the growth outlook as the economy braces for more fall-outs from turbulence abroad. To review what some of these factors could be, and how the Universal Fund is faring in this environment, click the button below to view the PDF Information File.
This information is provided by our Asset Manager Partner Anfield Capital Management and written on August 24th, 2015.