Resilient global
fixed income solutions

Resilience in fixed income is a pre-requisite. We work with you in selecting outcome-oriented fixed income strategies that are designed to help navigate challenging market conditions.

Financial investments involve an element of risk. For further information, please see the risk warning section.

We are focused on delivering outcomes that matter to our clients

Fixed income is about more than just duration; it is a multi-faceted asset class. We therefore offer a diverse range of fixed income strategies including: government bonds; investment grade credit; high yield; emerging market debt; liability-driven investing; buy and maintain; and multi-strategy. Our focus has always been on delivering sustainable long-term returns for our clients.


Our long heritage as a leading insurer means we not only have an acute understanding of the nature of risk, but are also used to designing solutions that meet the varying needs of our clients. 


Our fully integrated teams in Chicago, London, Paris, Singapore, Toronto and Warsaw combine to share, robustly challenge and collectively build upon knowledge and insights – across borders and asset class specialities.  Our independent research team operates across the entire capital structure, sector-led, overlaid with thematic views. 


Portfolio construction ranks equal to the creation of investment ideas, ensuring that we maximise the benefit of delivering our creativity to our clients. We take an innovative and adaptable approach, embedding risk awareness, consistency and rigour throughout the process.


Environmental, social and governance (ESG) considerations are critical to the generation of attractive and sustainable long-term returns in fixed income and they are embedded into every stage of the investment process.

Making fixed income work for our clients

Fund Manager Views:
Fixed Income Markets

Dan James, Global Head of Fixed Income, explains that value in fixed income is misunderstood. It is a multi-factor asset class that demands deep global resources in order to extract value for clients.

Download transcript

Strategies in Focus

A diverse and active range of fixed income solutions designed to meet your needs.

Key Risks

For further information on the risks and risk profiles of our funds, please refer to the relevant documents and Prospectus.

The value of an investment and any income from it can go down as well as up and can fluctuate in response to changes in currency and exchange rates. Investors may not get back the original amount invested.

Bond values are affected by changes in interest rates and the bond issuer's creditworthiness. Bonds that offer the potential for a higher income typically have a greater risk of default.

Fixed income insights

Read the latest market and strategy views from our global team of fixed income specialists.

A globally integrated team with extensive experience

Contact us

For further information contact your sales representative or our investment sales team.

+65 6491 0560*

*Calls to this number may be recorded for training and monitoring purposes, and to comply with applicable law and regulations. 

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