Our expertise
A global franchise spanning public and private investments. We offer a full range of global, regional and single-country solutions tailored to investor needs, from money markets to high yield, across the risk spectrum.
Niche sector exposures allow a broad range of clients access to our extensive expertise and heritage across debt markets.
What sets us apart
New fixed income
The asset class is evolving and expanding rapidly with new opportunities in securitized, mortgage-backed, working capital, private, real estate and infrastructure debt. We understand these changes and aim to bring them to a broad range of investors through solutions that meet their needs.
Broad range of solutions
Our scale, heritage and global perspective enables us to provide access to a wide range of solutions meeting different client needs.
In-depth expertise
Our heritage and long-standing as fixed income investors means we have dedicated teams with the experience to understand market cycles and constant flux of debt investing, utilizing our team of over 100 investment professionals in key markets across the globe.
Our strategies
Global
Active strategies across the global fixed income asset class spectrum, including flexible, unconstrained, aggregate, corporate and securitized.
Regional and single-country
US, Emerging markets, high yield, Asia, China, European, Swiss, Australian and other regional approaches, and across government and corporate bonds.
Liquidity and cash management
Money market and low duration solutions from dedicated specialists.
Credit Investments Group
A leading non-investment grade franchise investing in senior loans, high-yield bonds, collateralized loan obligations (CLO) and private credit.
Sustainable
Green Social Sustainable Bonds and UN Sustainable Development Goals fixed income offerings.
Focus strategies
Global Dynamic Bond strategy

Euro High Yield approach

Find out more
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Latest insights
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Trump 2.0 Executive Order Tracker
Explore our overview of executive orders, including environmental and social impacts, investment implications, and updates such as relevant lawsuits and pauses.
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How is President Trump affecting sustainability?
While the Trump administration's policies may weigh on some areas of the sustainable investing universe, opportunities with strong commercial economics still exist.
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Tariff-ying or tariff-ic?
The Trump administration’s tariffs have moved faster and gone further than expected. We discuss the market impact in the US, Europe, and China, and what this means for investors.
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Tariff scenarios
The risk of a tariff escalation following the Trump administration's blanket tariffs on its three largest trading partners increases the odds of our “highly aggressive” tariff scenario.
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Part of the deal
We share our views on the latest developments in US trade, domestic, and foreign policy, how they may affect investors, and how to position portfolios.
Risks
- Potential loss: Diversification is no guarantee against loss. Investors may lose part or all of their invested amount.
- Market risk: Market conditions can trigger fluctuations in total returns.
- Liquidity risk: Some investments may entail liquidity risk.
- Foreign currency risk: The fund’s total return can be adversely affected by exchange rate fluctuations.