Access J.P. Morgan Asset Management's best ideas in global credit
The Flexible Credit Fund offers investors flexible corporate credit exposure, aiming to generate attractive income while providing a smoother investment journey, with an emphasis on managing downside risks. A benchmark agnostic approach allows the fund to look beyond traditional index limitations and access a wide range of attractive ideas across the credit spectrum, generated by our proprietary top-down and bottom-up research.
Key drivers of our flexible credit strategy
Our unconstrained fixed income funds invest across global bond markets, exploring all avenues to help investors meet a range of goals.
