Fixed income

Bonds are perceived as being lower risk – but fixed income strategies need specialist knowledge to shine
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Spread your risk

From low-risk government bonds to more growth-oriented strategies, you can spread your risk while aiming to capture more dependable income or returns

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A choice of strategies

Bonds can help avoid stock market volatility but come with their own risks. A choice of strategies can meet many investment needs.

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Strong foundations

We do deep fundamental and sustainability risk analysis, actively shift exposure and closely track themes that influence market behaviour.

The lower risk label conceals the choices available to you

There’s a vast range of options out there. It’s true: you could help insulate your investments from unexpected shifts in stock markets with government bonds or the right corporate bonds. But if you’re feeling bolder, you could hold high-yield credit or dive into emerging markets, which are riskier – but have higher potential returns.  You could even have a strategy that invests across all of these markets and let an expert decide on the best combination according to your goals

Specialists to steer you towards your investment goals

There are well over 30,000 bonds to choose from, and many risks to consider.  You need specialists in economics and individual bond markets to formulate a view. You need analysts that understand each company in depth, to spot opportunities and risks, build the right strategy and then actively manage it as market conditions change.  You also need to identify the long-term themes influencing the market – which is why a truly robust strategy should have environmental, social, and governance (or ESG) considerations at its core.   

Active and adaptive

Designing and managing a diverse range of high performing fixed income strategies requires technical expertise.  We don’t believe in ‘star’ investors who know everything. We believe in the team working together. Our platform of specialists, experts in their fields across the globe, works to capitalise on a wide range of opportunities.    

Every team member contributes: fund managers, credit analysts, sustainability analysts, and market strategists all share ownership of an investment strategy.   

Our global platform gives us a 360° view of what is influencing markets, government bonds, currencies and companies.  We spot forward-looking themes that provide the context for our researchers to assess value and build conviction.  

“With the right expertise in the team that manages your particular fund, you can balance risk much more effectively. So not only are you diversifying your investments but you’re optimising income and returns from your high conviction ideas as you go.”

Past performance is no guarantee of future performance. The value of investments and the income from them can go down as well as up, and you (or your clients) might not get back what you originally invested.   

When interest rates rise, bond prices generally fall. Corporate bonds will always be riskier than government bonds, since (unlike most governments) companies can sometimes go out of business – reducing the chances of you getting back the money you’re owed.  

For illustrative purposes only and does not constitute to any recommendations to invest in the above-mentioned security/ sector/ country. 

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Please note past performance is not a guide to future performance. The value of an investment and the income from it may go down as well as up and investors may not get back the amount originally invested.

This marketing material is for professional clients only. This site is not suitable for retail clients.

For illustrative purposes only and does not constitute a recommendation to invest in the above-mentioned security / sector / country.

Cazenove Capital is a trading name of Schroders (C.I.) Ltd which is licensed under the Banking Supervision (Bailiwick of Guernsey) Law 2020 and the Protection of Investors (Bailiwick of Guernsey) Law 2020, as amended in the conduct of banking and investment business. Registered address at Regency Court, Glategny Esplanade, St. Peter Port, Guernsey GY1 3UF (No.24546). Schroders (C.I.) Limited, Jersey Branch is regulated by the Jersey Financial Services Commission in the conduct of investment business. Registered address at IFC1, Esplanade, St Helier, Jersey, JE2 3BX, (No.31076).