Summary: Interest rate volatility, tight spreads, and geopolitical tensions pose big questions for bond investing today. Such uncertainty has financial advisors pondering if they are taking on too much risk for little return. In this webinar, veteran core plus fixed income managers from Loomis, Sayles & Co. and Harris | Oakmark, will share insights on macro and market dynamics, areas of attractive yield, and how they are balancing risk and opportunities in portfolios in 2025. More...