Specialist in Asia Pacific, Japan, China, India and South East Asia and Global Emerging Market equities.

Discover more

Stewart Investors manage investment portfolios on behalf of our clients over the long term and have held shares in some companies for over 20 years. They launched their first investment strategy in 1988.

Discover more

Asian Fixed Income

Asian Fixed Income

Opportunity within fast growing and diverse economies

Having witnessed an unrivalled transformation and expansion over the last decade, we believe Asian markets are set to become the economic engine of the world. 

Investors have the opportunity to benefit from this increasingly diversified asset class, with ample liquidity and volatility akin to that of developed markets. 

Successfully immersing ourselves in the markets in which we invest

Seasoned investment professionals

Due to the ever-changing landscape of the Asian Fixed Income opportunity set, the idiosyncratic nature of constituent markets, and the rapidly expanding Asian corporate market, a successful team needs to be immersed in the region; locally-based with significant tenure.  We’ve been successfully managing Asian Fixed Income since 1999, and our seasoned investment managers locally based in Hong Kong, Singapore and Sydney, have significant experience investing throughout the market cycle.

Expert research and a disciplined investment process

Our research process is forward looking, disciplined and a core component of our robust and repeatable investment process. We consider both top down (macro) and bottom up (country specific) factors. Risk management is at the heart of what we do, and one that permeates every stage of our investment process. We believe our teams’ experience of investing through market crises proves invaluable in this respect.

Truly integrated approach to ESG

With more than 10 years of comprehensive ESG integration into our research process, we understand how vitally important these factors are when investing in Asian credit. ESG considerations are critical in the assignment of internal credit ratings to issuers.

Our difference

A proven and differentiated investment philosophy:

We consider risk management as key to our philosophy, and one that permeates every stage of our investment process. We follow a prudent investment approach which aims to achieve consistent income generation and risk-adjusted returns. Country selection reflects the output of our Asian markets assessment which includes quantitative and qualitative analysis. Duration and yield curve management reflect our thematic, factor based approach.

Consistent long-term performance track record:

Positive risk-adjusted returns generated over 3-5 year time horizons.

World-class ESG integration:

We have a vigorous Environmental, Social and Governance (ESG) process that is built in at both the company and product level. More importantly, ESG risk factors are an important consideration in the assignment of credit ratings on individual issuers.

Multi-dimensional credit research:

Credit research focuses on assessing credit risk and identifying deteriorating issuers. Our analysis considers a variety of risk dimensions, enabling significant breadth.

All positions in our portfolio are backed by research

We are stewards of our clients’ capital, and we take that very seriously. 

We believe that successful fixed income investing requires a deep focus on risk management, given the inherently asymmetric nature of the investments. For this reason every position in the portfolio is backed by in-depth research.  Identifying rating  migration and defaults is as important as finding relative value opportunities. 

Options and Opportunity


Offering our clients diversification within their portfolios:

  • To existing Fixed Income exposure
  • To Sovereign Emerging Markets exposure
  • To Investment Grade developed market exposure

Offering our client's the potential for a stable income stream


Giving clients exposure to corporate credit companies, driving global economic growth


Insights from team

Jamie Grant

Head of Emerging Markets and Asian Fixed Income

Nigel Foo

Senior Portfolio Manager

Nicole Hsieh

Senior Portfolio Manager

Adrian Au

Senior Manager / Credit Analyst