Global Strategic Bond

Investment Objective

The Global Strategic Bond strategy seeks total return over the long term.

Description

An actively managed strategy with the flexibility to invest in the best opportunities in global bond markets, offering investors the potential for total return in different market environments - including periods of rising rates. The strategy is absolute return focused, truly unconstrained, flexible and global, strategic and tactical and focused on risk.

We use a global theme-based top-down investment approach, designed with the flexibility to try to capture uncorrelated alpha in all market environments. We aim to provide positive performance regardless of market, spread or interest rate direction as well as better principal protection and low correlation relative to traditional, long only strategies.

Management Team

Investment Philosophy

Investment Process

Key Features

Investment Options*