Asian Fixed Income

Generating over one third of world GDP, Asia ex-Japan as an investment destination offers an exciting mix of developed and emerging market opportunities. Together, these elements have a long track record of delivering attractive risk adjusted returns to fixed income investors. With Asian bond markets growing rapidly, opportunities abound for an active manager to exploit multiple sources of alpha.

The Firm manages Asia ex Japan portfolios and is the center of excellence for regional research across all fixed income strategies. We are committed to identifying compelling risk adjusted investment opportunities by blending strong macro-economic analysis, issuer and sector fundamentals informed by quantitative and econometric models and ESG considerations.

Asian Fixed Income capabilities include:

Strategy Strategy Objective
Asian Fixed Income Active management of hard and local currency regional opportunities across a range of strategies and risk tolerances including investment grade, high yield, sovereign & quasi sovereign and corporate issuers.

*Flexible to meet client guidelines and objectives.

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