XXXXX | Global Opportunistic Bond Fund
Why Invest
Seeks attractive total return from a diversified portfolio of global fixed income securities, including government bonds, investment grade credit and non-investment grade credit
Adaptive to Changing Market Conditions
Relative value approach, investing across the broader fixed income spectrum without persistent biases or tilts
Multiple Alpha Sources
Seeks to add value through active security selection, currency and duration management
Broad, Globally Integrated Platform
Breadth of global fixed income investment professionals, using structured decision-making processes designed to ensure key investment insights are shared across the platform
Fund Facts
Performance & Exposures
Returns & Distributions
Stewardship & Sustainability
Portfolio Management Team
Documents
Fund Literature - 17 documents
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