Webinar

Unlocking Value in Fixed Income During Policy Transitions

30 September 2025
    3 sessions:
  • 30 September 2025 – 10.00am BST (London)
  • 30 September 2025 – 10.00am HKT (Hong Kong)
  • 30 September 2025 – 12.00pm EST (New York)
online

Markets are adjusting to ongoing fiscal largesse and monetary policy pivots.

For fixed income investors, this creates fertile ground for opportunity. Discover how to position portfolios for both resilience and return.

This webinar is being held on our new platform, ON24. If you do not receive your confirmation email, please check your junk and spam folders.

Speakers

Ryan Field
Ryan Field

Ryan joined Oxford Economics in April 2023 as a Global Macro Strategist, where he is responsible for shaping the Strategy team’s strategic and tactical cross-asset allocation views. He is also responsible for the development and maintenance of the team’s fixed income frameworks, tactical asset allocations, and trade idea generation.

Before joining Oxford Economics, Ryan gained experience in rates strategy at Crédit Agricole Investment Bank and during his studies completed several internships at the Bank of England. He holds an MSc in Finance and Economics from the London School of Economics and Political Science and achieved a place on the Dean’s List throughout each year of his BSc in Economics at the University of Exeter.

Junior Global Macro Strategist
This WEBINAR was brought to you by the GLOBAL MACRO SERVICE team.
Reliable and consistent macroeconomic forecasts, analysis, models and scenarios provide the insight necessary to make informed decisions in a fast-changing world.

Select Webinar Session:

30 September 2025
30 September 2025
10:00am BST
(London)
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