A long-term strategic approach to emerging market debt investing
A long-term strategic approach to emerging market debt investing
Capitalising on the dynamism of local currency emerging market debt
An anchor for euro-based portfolios with a focus on high-quality bonds
Bridging global fixed income markets with high-quality bonds
Fundamental security selection in global corporate bonds
A consistent source of high income in today’s low-yielding world
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Seeking to deliver consistent high income by investing across the higher yielding fixed income universe.
A diversified fixed income strategy investing primarily in investment grade bonds with an average maturity of 3-5 years
Maximising total return with disciplined volatility management
Fundamental security selection in US corporate bonds
Fundamental, integrated research underpins our search for yield