A powerful hybrid climate strategy

We are targeting yields and credit quality comparable with the broad global bond market and aim to make a positive impact on the environment

We framework for climate-aware global fixed income investing

Multi-Disciplinary Team

We bring together significant experience in managing ESG-integrated high conviction global fixed income portfolios, which is augmented by sustainable and responsible investment analytical expertise

Full Expertise Across Asset Classes

We have expertise across investment grade credit, high yield credit, Emerging Markets, sovereigns and Convertibles – backed by dedicated Global Fixed Income, Emerging Markets and Convertibles teams in fixed income

Structured Monitoring of Energy Transition

Using leading independent data providers and best-in-class standards, we’ll track company emissions over the medium term, assessing their momentum change. This assessment helps determine our frequency of engagement.

Robust Engagement Framework

Our existing engagement framework has always taken us a step further in our responsible investment approach, to discuss sustainability risks with issuers. We’ll complement this with collaborative engagement activities through CDP and Climate Action 100+ when working with issuers on climate-related issues.

Our focus on responsible sustainability

Since its foundation in 1819, Mirabaud Group has pursued a philosophy of sustainability with clients, employees and with the wider society. These principles have provided a sound footing for Mirabaud Asset Management in pursuing its long-term vision of incorporating responsible and sustainable considerations into our investment decision making.


Our climate-insight

The Great Energy Transition: Moving to a carbon-neutral future

The energy transition is the pathway towards transformation from fossil-based to renewable...

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The importance of developing a strong engagement framework

We must now agree on a binding review mechanism under international law...

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Dealing with decarbonisation

Global greenhouse gas emissions continued to grow for the third consecutive year in 2019...

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Green bonds offer similar ratings, yields and return profiles that other broad fixed income sectors. 

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Global climate bond fund lead managers and team

Aligned to the team directly responsible for the Fund are three Sustainable and Responsible Investment Analysts. The lead managers are supported by our wider fixed income capability across dedicated developed, Emerging Markets and global convertibles expertise.

Andrew Lake

Head of Fixed Income

Fatima Luis

Co-Portfolio Manager

Fixed Income

Dan Moreno

Head of Emerging Market Debt

Puneet Singh

Portfolio Manager

Alex Lushnikov

Global Credit Analyst

Al Cattermole

Portfolio Manager & Global Credit Analyst


Renaud Martin

Co-Head of Convertibles


Co-Head of Convertibles

Celia Levy

Portfolio Manager/Analyst

Oanh Tran


Sales Contacts


David Basola

Head of Consultants, GFI & Southern Europe

Mirabaud Asset Management (Europe) - Succursale Italiana
Via Giuseppe Mengoni 4
20121 Milano
T +44 20 3167 7014

Send a message


Mattia Pastrolin

Senior Sales Executive, Italy

Mirabaud Asset Management (Europe) - Succursale Italiana
Via Giuseppe Mengoni 4
20121 Milano
T +44 20 3167 7015

Send a message

United Kingdom

Ilaria Malacco

Sales Executive, Italy

5th Floor
10 Bressenden Place
SW1E 5DH London
T +44 20 3167 7021

Send a message