Fixed Income

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

  • 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.
  • 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.

ESG embedded in our investments

Put simply, we believe that companies with strong environmental, social and governance (ESG) credentials are the ones best placed to deliver strong, risk adjusted, long-term returns for our bond investors.

Our primary goal and responsibility is to generate the best long-term returns we can for our clients, mitigate risks and unlock opportunities. Consideration of ESG factors is therefore embedded in our fixed income research process. It’s one of the key dimensions, alongside other valuation metrics, on which we assess any company in which we invest.

We actively engage with our investee companies, combining information from these meetings with insights from our investment managers, research analysts and central ESG investment team. This creates an holistic evaluation of each bond issuer and enables us to compare one with another.