Absolute Return Fixed Income
We manage a variety of fixed income strategies that invest with an absolute return lens or seek to capitalise on relative-value opportunities across the bond, credit, currency and structured markets. These approaches draw on our longstanding experience as a leading global fixed income manager and seek to pursue returns even in volatile and rising-rate environments.
Investment in the funds described below places an investor’s capital at risk. Alternative investments tend to be speculative and use leverage, which can magnify potential losses. Additionally, they can be subject to increased illiquidity, volatility and counterparty risks, among other risks.
Absolute return-oriented fund, allocating across multiple fixed income alpha sources
Fundamentally driven fixed income fund investing in currencies globally
OTHER TYPES OF ALTERNATIVES
Regional and thematic long/short listed equity approaches.
Investments across asset classes with an absolute return approach.
Investing in the equity of unquoted companies.
Approaches that invest in physical assets, including commodities.