XXXXX | Global Flexible Credit Income Fund
Why Invest
Diversified credit portfolio which seeks to deliver consistent high income and attractive total return with less volatility than the high yield market
High Conviction, Skilled Security Selection
Combining our best ideas in credit across developed and emerging markets within a diversified portfolio
Proprietary Asset Allocation Framework
Seeks to extract mispricings across credit sectors with no persistent biases
Broad, Globally Integrated Platform
Breadth of global fixed income investment professionals, using a structured decision-making processes designed to ensure investment insights are shared across the platform
Fund Facts
Performance & Exposures
Returns & Distributions
Stewardship & Sustainability
Portfolio Management Team
Documents
Fund Literature - 20 documents
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