Emerging Markets Multi-Sector Bond Fund


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Investment Objective

Schroder Emerging Markets Multi-Sector Bond Fund seeks to provide a return of capital growth and income through investment principally in fixed income securities of governments and companies in non-developed, emerging market countries.


The fund is a relative return multi-sector strategy that integrates sovereign hard currency debt, local currency rates and currency, and emerging market corporate debt within an actively managed, strategic asset allocation framework. Using this approach we have access to the full opportunity set in EM fixed income while managing these four alpha sources in an integrated manner with the goal of achieving the highest risk-adjusted returns available within the asset class.


Fund Details

Management Team

Investment Philosophy

Investment Process


Please consider a mutual fund's investment objectives, risks, charges and expenses carefully before investing. For access to the prospectus, please click the following link: prospectuses. To obtain any further information on any Schroders fund, please read the prospectus, call your financial advisor or call Schroder Mutual Funds at (800) 464-3108 for Individual Investors or (800) 730-2932 for Intermediaries/Financial Consultants. Read the prospectus carefully before investing.