XXXXX | Global Investment Grade Credit Fund

Why Invest

Actively managed investment grade corporate credit portfolio, which seeks to outperform the benchmark through robust focus on fundamental research and avoiding tail risks

Excellence in Research

Seeks consistent alpha primarily from security selection and credit sector allocation, leveraging our proprietary “Credit Best Practices” checklist

Emphasis on Tail Risk Mitigation

Team actively assesses and monitors tail-risk on three separate levels—issuer, sector and portfolio—with emphasis on identifying secular changes that impact sectors

Dedicated Investment Grade Credit Team

Deeply resourced and dedicated IG credit team within Neuberger Berman’s wider, globally integrated fixed income platform

Fund Facts

Performance & Exposures

Returns & Distributions

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Stewardship & Sustainability

Portfolio Management Team

Fund Literature - 12 documents

Fund Literature Documents Listing and Download
Document NameShare ClassLanguageDateDownload
IEnglishSeptember 2026
EnglishAugust 2026
EnglishAugust 2026
IEnglishAugust 2026
EnglishDecember 2024
EnglishAugust 2026
Traditional ChineseJuly 2021
EnglishJuly 2021
EnglishAugust 2026
EnglishSeptember 2026
EnglishAugust 2026
EnglishAugust 2026