
Most investors diversify internationally with stocks, but stop short when it comes to bonds. Dan Shaykevich, lead portfolio manager for emerging market debt and head of multi-sector strategy at Vanguard, makes the case for why international bonds deserve a place in your portfolio, and how to think about currency risk as a feature, not a flaw. All investing is subject to risk, including the possible loss of the money you invest. Investments in bonds issued by non-U.S. companies are subject to risks including country/regional risk and currency risk.
Podzilla Summary coming soon
Sign up to get notified when the full AI-powered summary is ready.
Free forever for up to 3 podcasts. No credit card required.

Preparing for a New Financial Era: Women and Wealth

The Future of Active Management

How Will Investing Change Over the Coming Decade?

Beyond 60/40: Building Portfolios for the Next Decade
Free AI-powered recaps of Better Vantage by Vanguard and your other favorite podcasts, delivered to your inbox.
Free forever for up to 3 podcasts. No credit card required.