Aims to provide low-volatility, low-risk returns by investing primarily in debt securities issued by governments.
Investing in government bonds can help provide exposure to well-diversified bond portfolios designed to minimize individual security risk and generate secure and stable returns.
Our investment process seeks to leverage the global structure of our investment and research teams by balancing any outperformance between asset allocation and stock selection. To achieve this, our government bond strategies follow a disciplined process based on detailed market and security research, rigorous portfolio construction and disciplined risk monitoring.
Using this approach, we offer strategies focused on U.S. government bonds and inflation-managed bonds as well as broad global government bond portfolios.