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Fed Hawkish Signals Stir Bond Market; 00990B Manager Shares Three Key Selection Strategies

Finance · Investment Managers · cnyes · 2026-09-04

00990B

As Fed hawkishness and fiscal concerns rattle bond markets, Cathay Investment Trust highlights the importance of short-duration, high-coupon, and high-quality credit strategies for investors.

What Happened

Bond Market Volatility: Rising US national debt and hawkish signals from Fed official Kevin Warsh have created significant uncertainty in the bond market. Cathay Investment Trust advises that investors should prioritize bond duration, coupon rates, and credit quality to navigate the current environment of high interest rate volatility.

00990B Distribution Details: The Cathay Income Non-Investment Grade Bond ETF (00990B) has announced its first distribution of 0.08 TWD per unit, scheduled for September 23. Based on the previous closing price, this represents an annualized yield of approximately 9.64%, with the payment date set for October 20.

Key Selection Criteria: Fund manager Chen Yun-zhu emphasizes that short-duration bonds are less sensitive to interest rate fluctuations, making them a defensive choice in the current high-rate climate. Furthermore, investors must be wary of credit divergence and avoid weaker CCC-rated corporate bonds in favor of higher-quality, high-coupon opportunities.

Risk Management Approach: The 00990B tracks an index that employs a strict screening mechanism, excluding issuers rated below CCC+ and capping exposure to individual issuers and sectors. By integrating these bonds into a diversified portfolio, investors can mitigate market risks and reduce overall volatility during periods of equity market instability.

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