You may have seen headlines: “The Bond Resurgence,” “Bonds are Back,” and “The Year of the Bond” – These sound like poorly written Hollywood scripts, but reality is that fixed income bonds may offer the most-prolonged and best risk-adjusted returns we’ve seen since the Global Financial Crisis. Listen in as David Armstrong, Editor-in Chief, Wealthmanagement.com and Peter Higgins, Head of Fixed Income at Shelton Capital Management talk about volatility in the bond market and the tides that drive recommendations in fixed income products.