The fixed-income market is an ever-evolving and dynamic sector. The overlap between geopolitics, macro-economy and digital transformation are factors impacting this sector. Investment strategies are getting influenced by global growth and inflation rates while sustainable finance initiatives and regulatory shifts are gaining significance. In a conversation with Outlook Money LIC Mutual Fund’s Chief Investment Officer – Fixed Income, Marzban Irani, shed light on factors affecting the growth path of the fixed-income sector. Irani shared his thoughts on the complexities and possibilities in the fixed-income investment sector and also anticipated trends and challenges for the fiscal year 2025.