XXXXX | Asia Responsible Transition Bond Fund
Why Invest
A diversified portfolio that seeks to achieve an attractive level of return by primarily investing in a selection of Asian debt securities, denominated in hard currency
Access Asia’s Full Potential
Active management is the best way for investors to access the full potential of the asset class and benefit from the strong growth witnessed in Asian credit
A Robust, Active Research Process
Combines bottom-up analysis with proprietary coverage of Asian countries and integration of ESG factors into the fund’s fundamental investment analysis with a top-down asset allocation framework
Experienced, Stable and Well-Resourced Team
Managed by a well-established investment team with a long-term track record in managing EMD strategies and a multi-site set-up to ensure local perspective is incorporated
Fund Facts
Performance & Exposures
Returns & Distributions
Stewardship & Sustainability
Portfolio Management Team
Documents
Fund Literature - 23 documents
Explore More Solutions
Global Equity Megatrends Fund
Seeks to achieve long-term capital appreciation through investment in a high conviction, global all-cap equity portfolio of 20 to 30 companies supported by multiple long-term, global, secular shifts
Strategic Income Fund
Flexible fixed income fund designed for all markets. Seeks consistent income and strong total return with an investment grade risk profile over a medium- to long-term horizon
Event Driven Fund
A multi-strategy, market-neutral approach to equity event-driven investing that seeks to generate alpha-driven returns with low correlation to broader equity markets


