Global Credit
Investment Objective
Schroders' Global Credit strategy seeks to outperform the Bloomberg Barclays Global Aggregate Corporate by 75-100 basis points annualized (before fees) over an investment cycle.
Description
The strategy seeks to generate return by investing across the full maturity and investment grade spectrum of corporate bonds denominated in various currencies. The strategy can also invest in global governments, government agencies, supranational issuers, below investment grade and emerging market corporate debt. Our process focuses on implementing multiple investment themes through sector bias and security selection – supported by extensive proprietary fundamental research and quantitative analysis. Investment decisions are made on a relative-value basis, with the goal of capitalizing on opportunities across a wide range of market conditions.
Investment Options*
- Separate Accounts
Learn More
To find out more about this strategy, email our team at canada@schroders.com.
Investment Disclosures
*The strategies listed include those which may be subject to the ability to meet investment minimums and other specific criteria, and may not be directly available to U.S. investors.
**This index is an unmanaged portfolio of globally issued debt securities. No managed account can guarantee that its performance will match the performance of its benchmark.
There can be no guarantee these strategies will be successful or that the investment objective can be achieved.
Investment risks: All investments involve risks including the risk of possible loss of principal. The market value of the portfolio may decline as a result of a number of factors, including interest rate risk, credit risk, inflation/deflation risk, mortgage and asset-backed securities risk, U.S. Government securities risk, foreign investment risk, currency risk, derivatives risk, leverage risk and liquidity risk. Frequent trading of the portfolio may result in relatively high transaction costs and may result in taxable capital gains.