David Falk Joined Reuters to Discuss the Ukraine Crisis’ Affect on Global Sustainable Bond Issuance

“Certainty of Fed rate hikes and asset sales, tangible evidence of price inflation and the Russian/Ukraine conflict, collectively brought fear to investors in the fixed income markets in the first quarter of 2022,” said David Falk, fixed income portfolio manager at Shelton Capital Management.

Read the article: Global Sustainable Bond Issuance Takes Q1 Hit on Ukraine Crisis

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