OBJECTIVE AND INVESTMENT POLICY
This opportunistic bond fund seeks to achieve long-term positive returns in diverse market environments over full market cycles. The fund invests broadly across global fixed income markets and is not constrained by benchmark-specific guidelines. The unconstrained nature of the strategy allows us to fully express our high-conviction active views and avoid areas of the market where we see greater downside risk.
ABOUT THIS FUND
- The ability to invest broadly across global fixed income markets while not being constrained by benchmark-specific guidelines
- Seeks to maximise total returns regardless of market conditions
- Historically, has provided diversification from traditional and non-traditional asset classes