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Strategy
Investment Approach
- The Dynamic Global Bond Strategy seeks to provide attractive, stable income and downside risk management through dynamic and flexible portfolio management. The strategy is not benchmark sensitive and invests in fixed income securities from a broad opportunity set, looking for best opportunities but also for defensive investments to help manage downside risk.
- Seeks performance through income and capital gains
- Seeks to generate consistent and regular performance through diversification across geography and markets
- Controlled risk profile with bond-like volatility
- Focus on downside risk from potential rise in interest rates
- Tactical management of duration profile and country selection
- Based on high conviction views driven by extensive research platform
- Low correlation with risky markets during periods of risk aversion
- Focus on government allocation as opposed to credit risk
- Target value added: seeks to outperform the ICE BofA 3 Month T Bill index over a full market cycle (Not a formal objective and it can be changed without prior notice.)
- Target volatility: between 2% and 5% volatility annualized
Past performance is not a reliable indicator of future performance.
Annualised Performance
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There is currently limited Annualised Performance data for this fund. Please contact us for more information.
Current Year Performance
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There is currently limited Current Year Performance data for this fund. Please contact us for more information.
Portfolio Characteristics
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Calendar Year Performance
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There is currently limited Calendar Year Performance data for this fund. Please contact us for more information.
Top 10 Holdings
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Credit Quality
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There is currently limited Credit Quality data for this fund. Please contact us for more information.
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Region Diversification
Representative Portfolio vs Benchmark
No data available
Risks
Typical Investor