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Our high-conviction, unconstrained approach to fixed income investing allows for a high degree of flexibility, enabling us to rapidly adapt to changing market conditions. Every team member is a global credit specialist, free to commit to their ideas. Different perspectives are valued in what has become a positive culture of debate. This collective expertise brings creativity and rigour to the investment process, focused on delivering the risk-adjusted returns our clients expect.
All our fixed income funds are SFDR Article 8 or 9 and through engagement, we actively encourage responsible and sustainable industry practices. To assess how material ESG issues can positively and negatively impact overall credit profiles, we integrate ESG and extra-financial considerations into our analysis. We believe that this is key to understanding risks and long-term opportunities.
Global Fixed Income
A dynamic strategy responsive to changing markets. With a vast global universe, we invest wherever we find compelling opportunities, while actively managing our credit and duration risk.
DiscoverGlobal Fixed Income
Active high yield opportunities from across the globe.
DiscoverGlobal Fixed Income
A pure-play approach, targeting capital growth and income by seeking out the best opportunities across the global short-term fixed income universe.
DiscoverEmerging markets fixed income
Blending liquidity with quality to identify value across sovereign and corporate markets.
DiscoverClimate Bonds
Financing industry leaders to drive the carbon transition.
Fixed Income
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