• Meet real-life goals

    From absolute return to liability aware to private credit, our global fixed income teams can deliver a full spectrum of solutions to help meet your specific needs for income, liability matching, risk management and portfolio diversification.
  • Capture more opportunity

    Our 140+* fixed income specialists span developed and emerging markets, investment grade and high-yield bonds, and public and private markets. By sharing insight globally, we can find opportunity, navigate risks and bring together our very best ideas. *As at 30 June 2022
  • Focus on sustainability

    Assessing environmental, social and governance (ESG) factors is now critical to managing risk in fixed income. Alongside assessing ESG issues for every portfolio we manage, we offer a range of specific sustainable fixed income strategies.

See the materials below for more information on key investment strategies.

Investment Strategy Inception Date GIPS Disclosure Factsheet/Strategy profile
U.S. Credit Strategy November 1, 2009
U.S. Long Corporate Fixed Income July 1, 2009
Emerging Market Debt - Plus August 1, 1999
Emerging Market Debt - Corporate Bond February 1, 2011
Emerging Market Debt - Frontier Markets October 1, 2013

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