We are a worldwide team that provides a comprehensive selection of active, unconstrained, risk-controlled, indexed, and personalized fixed income strategies. Our objective is to offer access to the finest investment concepts and deliver exceptional investment performance to fulfill the unique requirements of our clients.
What Sets Us Apart
We offer strategies across the entire global fixed income asset class spectrum, encompassing flexible, unconstrained, aggregate, and corporate options. These strategies are designed to exhibit low to medium correlation with benchmark-aware portfolios.
Regional and single-country
We provide strategies that focus on both regional and single-country investments, covering emerging markets, Asia, and China. These strategies extend across government and corporate bonds within the specified regions and countries.
Sustainable, indexed and thematic
We specialize in Climate-Aware, Indexed, and Thematic fixed income strategies, offering investment approaches that are attuned to climate considerations, indexed to specific benchmarks, and aligned with thematic investment themes.
Global Strategies across the global fixed income asset class spectrum, including flexible, unconstrained, aggregate, and corporates, and from low to medium correlation to benchmark-aware portfolios.
Emerging markets, Asia, China and other regional approaches, and across government and corporate bonds.
Sustainable, indexed and thematic Climate Aware, indexed, and thematic fixed income offerings.