Fixed income
Our core expertise covers the traditional asset classes of government bonds, credit and foreign exchange, whilst we have significant experience of the more specialist areas of high yield bonds, emerging market debt, asset backed securities and commodities.
Our approach balances analysis of the fundamental, structural and valuation drivers of fixed income market and recognises that sources of investment opportunity change over time, making it essential that we anticipate chages in the market to deliver outperformance.
We allocate actively between sources of return including interest rates at different terms to maturity, currency, industrial sector and credit quality according to the opportunities identified by our analysis, with due regard to risk and your investment mandates.
To find out more about our fixed income strategies, please contact our UK Institutional team.

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