SSgA fixed-income CIO outlines approaches to debt crises

Buying shorter-duration bonds and customising benchmarks are two strategies for tackling the debt crises in Europe and the US, says Kevin Anderson of State Street Global Advisors.


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How will you alter your portfolio after the US election result?





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Underweight US
  16%
 
Overweight US
  42%
 
Underweight EMs
  6%
 
Raise cash levels
  20%
 
No change
  15%
TOTAL VOTES: 140
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