Webinar

Theme in Action: Will the Fed ‘march’ on to Curtail Inflation?

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Inflation is proving persistent — there is now a strong chance of a rate hike from the Fed in March alongside further policy tightening. In this webinar, we examine the impact of inflation and potential rate hikes on multi-asset investments in both European and U.S. markets. Our workflow specialists will demonstrate how to stress test and protect your portfolio by using essential tools to prevent your valuations from being impacted. 
* CPD points may differ depending on webinar length, certificates are available after watching 75% of the webinar.

Speakers

Bobby Lilaram

EMEA Workflow Specialist

Bloomberg L.P.

Bobby Lilaram is an EMEA Buyside Market Specialist focusing on Credit, Multi-asset Portfolio construction, and Risk management. He has a 10 year track record in the Buyside across Asset Management and Hedge Funds delivering industry defining thought leadership seminars in topics of Credit markets, Liquidity, Asset allocation and Risk management.

Christian Weber

Fixed Income Market Specialist

Bloomberg

Christian is a Market Specialist for Fixed Income at Bloomberg and has more than 18 years experience in buy-side and sell-side roles in financial markets, serving as Head of Fixed Income in Wealth Management, Deputy Head of Credit Strategy Research and Head of Credit Portfolio Management at banks and asset management firms. CFA Charterholder since 2005, Masters Degree in Business & Economics and PhD in Finance.

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