You work in the research branch of an investment fund.You have been asked to prepare a report outlining the current state of the Australian bond market.In your brief you will need to discuss both corporate and government bond markets and provide information about current size, growth or decline in issuance over the past say 10 years and the types of bonds being issued into the market.In your report, you also need to address any opportunities or risks to the market from external sources such as a sovereign debt default within the European Union.Your manager is after a stand-alone document that quickly brings her up to speed with the state of the market. Your manager is also interested in the state of the hybrid market (preference shares) as these securities have many attributes similar to bonds. She would appreciate any information you can find in that regard (and will reward you accordingly).
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