Webinar – Navigating Uncertainty in 2026

The webinar recording from 26 March 2026, captures a concise discussion on how a flexible, absolute‑return mindset can strengthen fixed‑income portfolios amid today’s volatile economic backdrop. Our experts walk through the 2026 macro outlook, the diversification and risk‑management advantages of absolute‑return bonds, and why emerging‑market debt remains a vital component for adaptable, high‑conviction strategies.

Moderator
Chris Iggo – CIO, AXA IM Core (BNP Paribas Asset Management)

Panelists
Alaa Bushehri – Head of Emerging‑Markets Debt, BNP Paribas Asset Management
Vicky Browne – Investment Specialist, Global Aggregate & Absolute‑Return, BNP Paribas Asset Management


What You’ll Learn
The macro‑economic and rate outlook for 2026
How absolute‑return bond strategies can enhance portfolio diversification and manage risk
The strategic role of emerging‑market debt in a shifting geopolitical and rate environment
Practical, real‑world examples of applying a flexible fixed‑income approach


Watch the full recording and gain actionable insights to inform your fixed‑income investment decisions.

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Important information

This material is issued and has been prepared by BNP PARIBAS ASSET MANAGEMENT Singapore Limited [BNPP AMS]. It has not been reviewed by the Monetary Authority of Singapore. It is produced for information purposes only and does not constitute: 1. an offer to buy nor a solicitation to sell, nor shall it form the basis of or be relied upon in connection with any contract or commitment whatsoever or 2. investment advice. It does not have any regard to the specific investment objectives, financial situation or particular needs of any person. Investors should consult their own professional advisors in respect of legal, accounting, domicile and tax advice prior to investing in the fund(s), and in the event that he chooses not to seek advice from professional advisors, he should make an independent determination of the suitability and consequences of an investment. Investors considering subscribing to the fund(s) should read carefully the most recent prospectus, offering document including the risk factors and consult the fund(s’) most recent financial reports before investing, as available from BNPP AMS or its authorised distributors. Investments involve risks. Investments in emerging markets involve above-average risk. Given the economic and market risks, there can be no assurance that the fund(s) will achieve its/their investment objectives. Investments in the fund are not deposits or other obligations of, or guaranteed, or insured by BNPP AMS or its authorised distributors or its affiliates and are subject to investment risks, including the possible loss of principal amount invested. Returns may be affected by investment strategies or objectives, markets and economic conditions. Past performance of the fund(s) or the managers, and any economic and market trends or forecast, are not necessarily indicative of the future or likely performance of the fund(s) or the manager and the value of the investments in fund(s) may go down as well as up. Investors may not get back the amount they originally invested. Funds which are invested in emerging markets, smaller companies and derivative instruments may also involve a higher degree of risk and are usually more sensitive to price movements. Views and opinions included herein constitute the judgment of BNPP AMS and its affiliates at the time specified and may be subject to change without notice. BNP PARIBAS ASSET MANAGEMENT Singapore Limited - registered office at 20 Collyer Quay, #01-01, 20 Collyer Quay, Singapore 049319. Company Registration No. 199308471D.

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