Activate your global fixed income allocation
⦁ Core bond allocation: JAGC provides actively managed exposure to a diversified portfolio of global-denominated debt securities, which can include government bonds, supranational bonds, investment grade corporate bonds, and investment grade structured credit.
⦁ Actively managed to seek alpha: JAGC aims to generate excess returns relative to the Bloomberg Global Aggregate Index by actively managing sector allocation, security selection and duration; and by targeting interest rate and credit spread beta, and asset allocation and eurozone duration relative value.
⦁ Low volatility approach: JAGC targets outperformance in both rising and falling market environments with low volatility, limited drawdowns and no market bias.