Absolute Return / Unconstrained
Our Absolute Return Fixed Income strategies seek to capitalize on all sources of fixed income return by allocating across the fixed income spectrum to provide long-term absolute return.
Our Unconstrained Fixed Income strategies provide access to our highest conviction “best ideas”, without constraint, allowing investors to add diversification to portfolios while targeting total returns.
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Our commodity strategies leverage the insights and expertise of our global platform to guide positioning and risk-taking in commodity markets.
Core and Core Plus
Our Core and Core Plus fixed income strategies seek to maximize total return by investing primarily in diversified portfolios of high-quality debt securities across multiple sectors of the fixed income market.
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Emerging Markets Debt
Our emerging market debt strategies seek to provide clients with greater return potential and the ability to boost their income and yield by investing in diversified portfolios of emerging market debt securities issued by governments or companies (in both U.S. dollars and local currencies).
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Our government bond strategies aim to provide low-volatility, low-risk returns by investing primarily in debt securities issued by governments.
High Yield Corporates & Loans
Our high-yield strategies seek a high level of current income by investing primarily in a diversified portfolio of debt securities that are rated below-investment-grade or are unrated.
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Our Global Fixed Income Insurance Solutions are designed to address challenges driven by a distinct set of liability funding profiles, financial objectives and risk tolerances. We believe our experience, approach and collaborative culture provide our clients with essential information to help make well-informed investment decisions.
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Investment Grade Corporates and Credit
Issued by higher-quality companies, investment-grade corporate bonds can help clients potentially boost portfolio returns and target a higher level of income.
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The Multi-Sector Credit team is headed up by lead portfolio manager Lisa Coleman, who has 34 years' experience of managing credit and unconstrained portfolios. Drawing its strength from the scale and breadth of J.P. Morgan Asset Management's global fixed income platform, the team's four named portfolio managers are supported by 56 credit analysts who share their highest-conviction ideas within the asset classes and sectors they cover. The platform's research-driven approach to investing comes from speaking a common investment language that focuses on fundamental, technical and valuations factors across asset classes.
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Our Securitized Credit Strategies seek to maximize total return by investing primarily in a diversified portfolio of debt securities backed by pools of residential and/or commercial mortgages and other assets, offering clients increased return potential.
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Our short-duration strategy aims to provide strong risk-adjusted returns and consistent outperformance versus the benchmark by allocating across fixed income securities and sectors, including Treasuries, Treasury Inflation-Protected Securities (TIPS), credit, municipals, asset backed securities (ABS), mortgage-backed securities (MBS) and agency bonds.
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Stable Value bond strategies are a conservative investment option offered predominantly in defined contribution plans.
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