Fiera Global Multi-Sector Income
Investment approach
The strategy seeks to provide unitholders an exposure to global fixed income. The investment process blends a bottom-up credit focused approach, centred on fundamental research, with a disciplined top-down approach. Through its global credit focus and multi-sector approach, the strategy will aim to provide a diversified and stable source of income from a global opportunity set. The strategy will invest globally, across numerous sectors including but not limited to global developed and emerging markets, investment grade and high yield corporates, AT1 securities, securitisation and global infrastructure debt.
Key Characteristics
- Access to global fixed Income
- Higher yielding than traditional fixed income solutions
- Fundamental credit focus
- Strong risk-adjusted return
- Stable Income due to diversified sources of credit exposure
- Continuous and rigorous risk management though disciplined investment process