Bond portfolio - Wealth Management Portfolio
Please provide assistance for below questions I am facing.
I am looking for assistance to work on a diversify fixed income portfolio that can provide 3% to 6% yield in return.
I am looking to for a key background history about what happened to Bond market in 2015, and provide a detail forecast as to what might happen for the next 1 to 2 years.
And then pick 3 Bonds each from Emerging Market, and 3 from China Dim Sum Bond market, and 3 from US market, and 3 from Europe.
So there should be a total of around 15 Bonds selection from the above mentioned 4 markets.
The choice of Bonds is not the key factor to what I am looking for, the Bonds are just some examples, but I am hoping you can provide me some good understanding to Fixed Income, please let me know what happened in 2015, and please use recent finance news reference to support your forecast regarding to your Bond choice.
Some details graphs & trends to show your forecast yield, such as Bloomberg Terminal description to support your Bond choice would be great.