Global Fixed Income

Investment approach

Extensive internally-driven fundamental research on global fixed income and currency markets, this strategy is designed to preserve capital and enhance returns within a risk-controlled environment. The strategy focuses on long term currency, country and duration positioning in addition to shorter term tactical trading which allows for consistent outperformance across market conditions.

Key Characteristics

  • Experienced fixed income team
  • Greater diversification of income
  • Diversified currency exposure
  • Broad global fixed income universe allowing for attractive opportunities
  • Higher yielding portfolio offering a significant source of income in a low interest rate environment
  • Enhanced overall portfolio risk/return profile through additional diversification