Six Canadian-domiciled global fixed income funds [Toronto Globe and Mail (Ontario, Canada)]
Morningstar, Inc. (MORN)
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Source: Toronto Globe and Mail
Six Canadian-domiciled global fixed income funds Outperforming bond ETFs. Over the past three decades, there have been three distinct market corrections in Canada (excluding the pandemic) where the S&P/TSX Composite Index fell by more than 20 per cent from its peak value before recovering. These included the Asian currency crisis in 1998 (down 27 per cent), the tech bubble in 2002 (43 per cent), and the global financial crisis in 2008 (44 per cent). Common among these extreme events in the past is the behaviour of broad asset classes; equity funds fell more sharply but recovered more quickly, bond funds moved less but didn’t participate on the upside, and balanced portfolios lay somewhere in between. Looking at these extreme periods in detail, one particular category of funds moved opposite to domestic equities during drawdowns over the past three bear markets and maintained value during the recoveries: global fixed income funds. This category of funds primarily holds investment-grade
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