Portfolio Trading: An innovation tool for large-scale strategy shifts, portfolio rebalancing and transitions

Download and receive the latest insights from our credit team

man on tightrope

When fixed income asset allocators consider transitioning from an existing manager or just adding a new one, the associated costs and effort are frequently identified as material concerns. This is also a major consideration for a corporate bond portfolio manager when considering a large-scale strategy shift within their existing portfolio.

Learn about:  

  • The basic mechanisms of portfolio trading
  • Why portfolio trading is now a viable option
  • The key benefits of portfolio trading

Server failure please try again

Please enable Javascript in your browser

I acknowledge that I qualify as a professional client or institutional/qualified investor. By clicking “Agree”, I’d like to receive the latest insight, thought leadership and research from Aviva Investors. You can request to unsubscribe at any time.