Investment objective
Global High Yield strategy aims for a gross outperformance of 150 basis points per annum versus the Barclays Capital US Corporate High-Yield Bond Index over a full investment cycle.
Key features
- Schroders has over 50 years' bond expertise and manages USD $28 billion globally across fixed income products in Europe, the US, Japan, Asia and emerging markets
- We have built a globally integrated team of more than 20 experienced in-house credit analysts whose focus is credit research. The fundamental research generated internally by this team of industry specialists is a core element of our investment process
- Schroders invests in companies that are rated below investment grade and seeks to outperform the broad high yield market through active management
Investment options
- Separate accounts*
- Sub-advisory*
- Institutional-type vehicles*