Bond markets: 2020 review and 2021 outlook

Discover what we learned from 2020 and how it can help you in 2021.

Thursday, January 7, 2021
Noon – 1:00 p.m. ET

The year 2020 contained more than its fair share of surprises for capital markets and for bond investors who looked to the fixed income portion of their portfolios to help provide income, steady returns, and diversification for when other markets got volatile. This time the key volatility events came from biological origins and yet their shock-waves triggered a collapse in bond yields, intervention from the U.S. Federal Reserve and the Treasury, and ripple effects across multiple markets confronted with an unprecedented lockdown of the economy and ultimately a recession.

Join Richard Carter, VP of Fixed Income, and Fidelity Market Strategists Tom De Marco and Ilya Perlovsky, as they discuss lessons learned from 2020 and consider what 2021 may have in store.


Richard Carter

Richard Carter

Vice President, Fixed Income
Fidelity Investments

Tom DeMarco, CFA<sup>®</sup>

Tom DeMarco, CFA®

Senior Vice President, Capital Markets
Fidelity Investments

Ilya Perlovsky, CFA<sup>®</sup>

Ilya Perlovsky, CFA®

Vice President, Capital Markets
Fidelity Investments

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