This is the final article of our four-part Asian Fixed Income series. We will explore our approach to Asian Fixed Income investment.
The Asian Fixed Income investment universe has seen significant growth recently, and is forecast to continue.
Our philosophy is focused on generating returns through the compounding of credit spreads and actively seeking alpha opportunities in an evolving universe.
Our Fixed Income approach is focused on balancing the risks, our commitment to thinking about risk differently.
The key differentiator of our strategy is that it is Investment Grade only. The peer group is almost entirely mixed grade.
We have over ten years of track record incorporating ESG factors assessment in our approach.
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