Our Global Head Of Fixed Income shares her insights on the recent banking turmoil and why Vanguard’s bond portfolios are well positioned for future volatility.
In this short video, Joe Davis, Vanguard’s global chief economist, discusses volatility in the financial sector sparked by two recent bank failures and shares his views on inflation and central bank policy.
Following recent financial market volatility attributed to banking-sector events, we continue to encourage investors to avoid speculation and trading on emotion, and to focus instead on the long term and factors within their control.