Our extensive fixed income capabilities cover the full risk spectrum. We offer core, conservative, ‘all-weather’ bond exposure to innovative, higher yielding opportunities and sustainable investing.
As the investment arm of a global insurance group, fixed income is at the heart of our offering. We draw on the deep experience and diverse expertise of the bond managers across our ecosystem to deliver a distinctive array of fixed income solutions to meet the unique needs of our clients.
Uniting all of our fixed income managers is a responsible, active approach to managing downside risk and strong macro expertise combined with rigorous fundamental research. All in service to one goal: to deliver capital preservation with risk-adjusted returns for our clients over time.
as at 31 December 2022
European fixed income
Global fixed income
Emerging market debt
Liquid alternatives UCITS