
Strategy
Fixed Income
Stability, predictable income, and active risk control form the foundation of our fixed income approach — built with the same depth of credit and market analysis seen in leading global fixed-income specialists. We adapt portfolios to shifting interest rate, inflation, and geopolitical conditions.
Overview
Fixed Income
Stability, predictable income, and active risk control form the foundation of our fixed income approach — built with the same depth of credit and market analysis seen in leading global fixed-income specialists. We adapt portfolios to shifting interest rate, inflation, and geopolitical conditions.

What We Offer
- Global and regional government, investment-grade, and credit strategies
- Yield-optimised and duration-managed portfolios
- Diversification across sectors, regions, and credit quality
- Clear assessment of risk-return trade-offs for every mandate