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.

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$81.3bn
Fixed Income Assets Under Management

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113
Fixed Income Investment
Professionals

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18
Average Years’ Financial
Industry Experience

As at September 30, 2024

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$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
Fixed Income Assets Under Management

113
Fixed Income Investment
Professionals

18
Average Years’ Financial
Industry Experience

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

Multi-Asset Credit

Providing investors with an opportunity to invest in a range of predominantly secured credit asset classes, not typically found in traditional fixed income portfolios.

Buy & Maintain Credit

Our buy & maintain portfolios are bespoke and designed in working partnership with our clients so that the final solution accurately meets their needs.

Asset-Backed Securities

A high quality, conservatively managed fixed income solution aiming to provide downside resilience over cycles.


Emerging Markets Debt Hard Currency

Seeking to capture market inefficiencies within emerging markets debt to generate alpha over the long-term.




Global High Yield

Aiming to access the total return potential of high yield bonds through a portfolio of diversified issuers, sectors and geography.





Investment Grade Credit

Our investment grade strategies combine top-down asset allocation with bottom-up, high conviction, ideas generated by our experienced sector specific credit analysts, predominantly focused on investment grade corporate bonds.


Emerging Markets Debt Hard Currency

Seeking to capture market inefficiencies within emerging markets debt to generate alpha over the long-term.



Global High Yield

Aiming to access the total return potential of high yield bonds through a portfolio of diversified issuers, sectors and geography.




Global Investment Grade

Our investment grade strategies combine top-down asset allocation with bottom-up, high conviction, ideas generated by our experienced sector specific credit analysts, predominantly focused on investment grade corporate bonds.

European Investment Grade Credit

For investors seeking high-quality European credit exposure and an opportunity to access total return that potentially exceeds the benchmark.


Secured Loans

A defensive portfolio of higher-quality borrowers in the European loans market with a focus on dependable income and default avoidance.


Emerging Markets Debt Hard Currency

Seeking to capture market inefficiencies within emerging markets debt to generate alpha over the long-term.


Australian Fixed Interest

A fundamentally driven approach seeking to take advantage of situations where market pricing has become misaligned with economic and investment fundamentals.


Emerging Markets Debt Hard Currency

Seeking to capture market inefficiencies within emerging markets debt to generate alpha over the long-term.


Global High Yield

Aiming to access the total return potential of high yield bonds through a portfolio of diversified issuers, sectors and geography.


Collateralised Loan Obligations

Providing exposure to high-quality, floating rate collateralised loan obligations (CLOs), which are designed to offer diversification benefits and low volatility with low downgrade risk.


Global Multi-Sector

A dynamic global bond fund that seeks superior risk-adjusted returns relative to the benchmark over a market cycle.




Global Investment Grade

Our investment grade strategies combine top-down asset allocation with bottom-up, high conviction, ideas generated by our experienced sector specific credit analysts, predominantly focused on investment grade corporate bonds.

Insights

Global Perspectives: Market GPS 2025 investment outlook

Luke Newman, Kareena Moledina and Richard Clode join Matthew Bullock to delve into the complexities and opportunities for the coming year.

Man on sailing boat unfurling a sail in good weather

Are the political winds shifting in favour of bond investors?

Jenna Barnard believes political upheaval may lean in favour of bonds.

Resilient emerging markets debt faces US policy uncertainty in 2025

The emerging markets debt hard currency team explore how the asset class performed in Trump 1.0 and if there are any lessons to be learned for 2025.

Institutional Insights
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