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Career Insights: Fixed Income Fund Management in India
Due to a variety of contrasting developments, India’s bond market has attracted a lot of attention in recent times. Crucial reforms, such as a new bankruptcy code, promise a bright future. Meanwhile, a meltdown in non-bank financial debt presents serious obstacles.
An increase in government bond issuance has chiefly driven the market’s growth. Corporate bond issuance, on the other hand, has remained mostly flat. Further expansion should be underpinned by an easing of the limits on foreign ownership and the country’s inclusion in global bond benchmarks.
Fixed income funds in India represent more than half of the country’s INR26.3 trillion of assets under management, a figure that is set to increase as the bond market develops. It augurs well for CFA® charterholders and candidates looking to pursue a role in fixed income fund management.
Learn what it takes to develop a career in this industry by participating in our Fixed Income Fund Management in India webinar. It features Dwijendra Srivastava, CFA, CIO – Debt, Sundaram Mutual Fund who will share his insights, advice, and more.
• An overview of fixed income fund management in India.
• Career opportunities for CFA charterholders and candidates.
• Roles and entry requirements.
• Competencies required and potential career paths.
Continuing Education for CFA Institute Members
CFA Institute members: Provide your CFA Institute ID number upon registration to facilitate the entry of CE credit into your record at the close of this live webinar. Credit will not be recorded if no CFA Institute ID provided is provided. You’ll receive an automatic notification to your email address on file once these credits have been entered into your record. Please allow 10 business days to receive your notification.