Three strategies for a changing-rate environment
A look at how fixed income strategies may help stabilize portfolios and enhance returns even in uncertain times.
We’ve been investing in bonds for almost 200 years and now manage over £130bn in assets, supported by 140 fixed income professionals across three continents.
Our extensive expertise enables us to navigate different market conditions and deliver long-term portfolio stability. This gives you the confidence to stay invested – no matter what the future holds.
As of 30 June 2024.
With a global network of analysts and 30 years’ experience in Asia and emerging market debt, we can offer many specialist fixed income strategies that other asset managers may not.
We seek out and analyse opportunities in emerging markets, high-yield debt, private credit, sustainable bonds and more. Our aim is to optimise returns, manage risk and ensure alignment with your values.
We partner with pension funds, insurers and other clients to create fixed income strategies for their unique and often complex investment needs.
From seeking to protect the real value of capital, to targeting specific yield requirements, to matching sustainability parameters, we strive to create fixed income solutions that you can rely on to meet your real-world needs.
Investment Strategy | Inception Date | GIPS Disclosure | Factsheet/Strategy profile |
---|---|---|---|
US Corporate | July 1, 2009 | Download | Download |
U.S. Credit Strategy | November 1, 2009 | Download | Download |
Emerging Markets Debt - Hard Currency Sovereign | August 1, 1999 | Download | Download |
Emerging Market Debt - Corporate Bond | February 1, 2011 | Download | Download |
Emerging Market Debt - Frontier Markets | October 1, 2013 | Download | Download |