We go beyond the limits of most credit analysis
For more than two decades, we have managed global credit portfolios through economic cycles and fluctuating market conditions. All holdings undergo comprehensive analysis to help minimise investment risk, including ESG risks facing individual issuers.
Global Fixed Income
Achieve deeper diversification in the most defensive part of a portfolio
We cover a broad spectrum of investment grade and high yield sovereign and corporate bonds in developed and emerging markets. This enables portfolio managers to construct diverse, efficient portfolios that are better able to meet clients’ investment objectives.
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