Fixed Income

Harness the full spectrum of fixed income solutions to target powerful outcomes.

Read our fixed income story
Meet real life goals
From absolute return to liability aware to private credit, our global fixed income teams can deliver a full spectrum of solutions to help meet your specific needs for income, liability matching, risk management and portfolio diversification.
Capture more opportunity

Our 140+* fixed income specialists span developed and emerging markets, investment grade and high-yield bonds, and public and private markets. By sharing insight globally, we can find opportunity, navigate risks and bring together our very best ideas.

*As at 30 June 2022

Focus on sustainability
Assessing environmental, social and governance (ESG) factors is now critical to managing risk in fixed income. Alongside assessing ESG issues for every portfolio we manage, we offer a range of specific sustainable fixed income strategies.

Our ESG approach to investing

We believe that ESG factors may be financially material and can impact a company’s performance – either positively or negatively. Understanding ESG risks and opportunities, alongside other financial metrics, is therefore an intrinsic part of our research process.

Read more about sustainable investing

Our strategies

Climate Transition Bond Fund

Climate Transition Bond Fund 

Mitigating causes of climate change and helping society adapt to the consequences.

Emerging Market Debt

Emerging Market Debt is a compelling asset class, spanning a huge variety of countries, industries and companies.

Funds in Focus