A different way of seeing

Investing in credit with Schroders

Seeking unexpected perspectives

In the global credit markets, there is a constant race for information. The winners are those who spot the key trends early and uncover opportunities that are overlooked by their competitors. Our research culture is one that seeks out the less obvious second- and third-order effects of economic and industry trends on the companies we cover. Our analysts work to uncover patterns, interconnections and interactions that can help our portfolio managers to exploit early-stage opportunities, identify risks and have the confidence to take concentrated positions.

Themes-driven approach

We identify broad investment themes that we believe will shape returns. The disciplined way in which we implement this approach helps us uncover the less-obvious second- and third-order effects of these trends and highlight early-stage opportunities.

Global reach and insights

Schroders specializes in bottom-up credit research and security selection. The insights that drive our portfolios come from 40+ credit analysts covering 1700+ debt issuers worldwide, and 25+ fund mangers based in Europe, Asia, the UK and US.

Five decades of experience

With more than 50 years of experience running fixed income portfolios, today Schroders offers strategies to suit a wide range of client objectives and priorities, spanning active market exposure, sustainability, income focus, while aiming to preserve capital.

Explore our credit funds

You can find more information, including fund literature, holdings and performance data in our fund centre.

Related insights

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DISCLAIMER

INVESTMENT IN MUTUAL FUND CONTAINS RISKS, PRIOR TO INVESTING IN MUTUAL FUND, INVESTOR MUST READ AND UNDERSTAND THE FUND PROSPECTUS. PAST PERFORMANCE DOES NOT INDICATE FUTURE PERFORMANCE.

The views and opinions contained herein are those of the author(s) on this page and may not necessarily represent views expressed or reflected in other Schroders communications, strategies or funds. This material is intended to be for information purposes only and is not intended as promotional material in any respect. The material is not intended as an offer or solicitation for the purchase or sale of any financial instrument. It is not intended to provide and should not be relied on for accounting, legal or tax advice, or investment recommendations. Reliance should not be placed on the views and information in this document when taking individual investment and/ or strategic decisions. Past performance is not a reliable indicator of future results. The value of an investment can go down as well as up and is not guaranteed. All investments involve risks including the risk of possible loss of principal. Information herein is believed to be reliable, but Schroders does not warrant its completeness or accuracy. Some information quoted was obtained from external sources we consider to be reliable. No responsibility can be accepted for errors of fact obtained from third parties, and this data may change with market conditions. This does not exclude any duty or liability that Schroders has to its customers under any regulatory system. Any reference to sectors/countries/stocks/securities are for illustrative purposes only and not a recommendation to buy or sell any financial instrument/securities or adopt any investment strategy. The opinions in this material include some forecasted views. We believe we are basing our expectations and beliefs on reasonable assumptions within the bounds of what we already know. However, there is no guarantee that any forecasts or opinions will be realized. These views and opinions may change. PT Schroder Investment Management Indonesia is licensed and supervised by Indonesia Financial Services Authority (OJK).