Investment Grade: Global Short Duration

Our global short duration investment grade strategy seeks to generate, in our opinion, attractive returns within tight parameters to help limit interest rate risk and credit risk. The strategy is generally managed with a short duration target. The strategy is heavily focused on investment grade rated instruments, although can invest a small percentage in high yield rated securities at the team’s discretion.

To help achieve the strategy’s short duration objective, we focus on to investments in short-dated corporate bonds across the global investment grade market, allocating across the US, Europe, and Emerging Markets. Our investment approach is based on fundamental credit analysis and integrating ESG considerations. The team also incorporates top-down macro views within the strategy’s duration and credit quality parameters.

Capital en riesgo. El valor de las inversiones y los ingresos derivados de ellas pueden tanto bajar como subir y no está garantizado.  Es posible que los inversores no recuperen la totalidad del importe invertido. La rentabilidad pasada no es indicativa de la rentabilidad actual o futura.

Inicio de la Estrategia

2019

Ubicación de los Gestores

London, New York