Past results are not a guarantee of future results.
2021 bars are the low points: 3 January (US investment-grade corporate bonds); 6 July (US high-yield corporates); 4 January (emerging market government bonds); 3 August (securitised bonds). 2023 bars are as at 30 June 2023. The indices of the respective fixed income sectors are outlined in footnote 1 (securitised bonds represented by Bloomberg US CMBS ex-AAA Index). Yield refers to Yield to Worst, a common measure of yield. Source: Bloomberg
This illustration analyses the calendar-year returns from the above four fixed income sectors each year since 2008. Past results are not a guarantee of future results.
Investors cannot invest directly in an index.
Data as at 30 June 2023 in USD terms. Based on the four fixed income sectors and their respective indices as outlined in footnote 1 (securitised bonds represented by 80% Bloomberg US CMBS ex-AAA Index and 20% Bloomberg ABS Ex AAA Index). Sources: Bloomberg, Capital Group
Each of the four sectors is managed by an experienced sector specialist portfolio manager. They are supported by large, dedicated investment analyst teams that help create a portfolio built on deep insights into each of the securities the fund invests in.
Damien J. McCann
Principal Investment Officer
23 years with Capital
23 years of industry experience
Shannon Ward
US High Yield
6 years with Capital
30 years of industry experience
Scott Sykes
US investment-grade corporates
17 years with Capital
22 years of industry experience
Kirstie Spence
Emerging markets debt
27 years with Capital
27 years of industry experience
Xavier Goss
Securitised credit
2 years with Capital
19 years of industry experience
Years of experience as at 31st December 2022.
*Assets under management by Capital Fixed Income Investors.
Data as at 31 December 2023
Jorden Brown
Managing Director
Financial Intermediaries
(Australia & New Zealand)
Douglas Frewin
Director Distribution
(QLD)
David Miller
Director, Distribution
(NSW)
Zoe Alexander
Director, Distribution
(VIC, TAS & WA)
Risk factors you should consider before investing:
Please read the offering documents for further details before investing, including the risk factors.
This communication is issued by Capital Group Investment Management Limited (ABN 73 164 174 501), a company regulated by the Australian Securities and Investments Commission. Capital Group Investment Management Limited is a member of Capital Group.
The information provided is of a general nature and does not take into account your objectives, financial situation or needs. Before acting on any of the information you should consider its appropriateness, having regard to your own objectives, financial situation and needs.