Investment objective
Schroders US Corporate Bond strategy aims for a gross outperformance of 75 basis points per annum versus the Barclays Capital Global Corporate – Credit USD Bond Index over a full investment cycle (3-5 years).
Key features
- Research-driven process using a relative-value approach to decision making
- Fundamental credit opinion, backed by state of the art quantitative tools
- Risk budget varies based on expected returns, volatility and confidence
- Opportunistic, nimble approach in changing market conditions
Investment options
- Separate accounts*
- Institutional-type vehicles*