FIXED INCOME
Flexible. Thoughtful. Connected.
Our teams retain flexibility within a disciplined construct, resulting in individual strategies as well as custom-blended solutions – all within a rigorous risk management framework.
$81.3bn
Fixed Income Assets Under Management
113
Fixed Income Investment
Professionals
18
Average Years’ Financial
Industry Experience
As at September 30, 2024
$81.3bn |
113 |
18 |
As at September 30, 2024
$81.3bn |
113 |
18 |
As at September 30, 2024
Investment capabilities benefitting from:
- A forward-looking approach that looks beyond benchmarks to put investor objectives at its core.
- Collaborative teams that share and debate ideas globally but retain investment flexibility within a rigorous risk-management framework.
- A range of actively-managed solutions from core bonds to multi-sector that reflects four decades of addressing clients’ evolving financial needs.
Featured strategies
Fixed Income Strategies
Corporate Credit
- Buy & Maintain Credit
- European High Yield
- European Investment Grade Credit
- Global High Yield
- Global High Yield
- Global Investment Grade
- US High Yield
- US High Yield
Structured Debt
- Asset-Backed Securities
- Collateralised Loan Obligations
- Collateralized Loan Obligations
- Multi-Asset Credit
- Secured Loans
Global Bonds
Insights
Trump 2.0: Adapting fixed income to the uncertain path ahead
Capturing diversification, attractive yield, compelling relative value and high credit quality could help mitigate risks associated with market volatility and policy shifts.
Trump 2.0: the new reality for emerging markets debt investing?
Potentially higher US inflation and growth coupled with tariffs are likely to impact the emerging markets landscape. What are implications for emerging markets debt investors?
Institutional Insights
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