Our teams retain flexibility within a disciplined construct, resulting in individual strategies as well as custom-blended solutions – all within a rigorous risk management framework.


€59.7bn
Fixed Income Assets Under Management


114
Fixed Income Investment
Professionals


17
Average Years’ Financial
Industry Experience
As at 30 September 2022
![]() ![]() €59.7bn |
![]() ![]() 114 |
![]() ![]() 17 |
As at 30 September 2022




We talk a lot in this industry about beating a client benchmark, but for me there is only one true benchmark and that is client expectations. This often differs from client to client and it is our job to have a philosophy of being high conviction and active in our approach.
Global Head of Fixed Income
Featured Strategies
Insights
Loans look-through: A year for income?
Hard or soft landing? Pivot or pause? While prospects for the global economy remain in the balance, David Milward, Head of Loans, considers a more predictable element for fixed income investors.
Short-duration bonds in 2023: Staying cautious amid uncertainty
Bond investors should manage their expectations about how long policymakers are willing to endure high interest rates.
Global Perspectives: It is all falling into place for bonds in 2023
Evidence of a collapse in inflation and impending economic downturn have potentially built conditions for strong returns from bonds in 2023.
Forward-thinking fixed income
Identifying the key dynamics that drive global markets and will ultimately shape long-term investment performance is what defines our approach to Fixed Income investing.


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