Fixed income strategies driven by global insight
Spanning sectors, markets and regions, our fixed income solutions benefit from time-tested investment processes, rigorous risk management, and the active insights of a global team of research analysts and specialist portfolio managers.
Source J.P. Morgan Asset Management as of 31 October 2024.
Specialist fixed income expertise
Benefit from the extensive resources and rigorous research of a truly global fixed income manager, backed by a time-tested investment process where risk management is embedded at every level.
Investment platform
A truly global investment platform.
Research-driven security selection
Every investment decision is assessed by our sector analysts based on rigorous fundamental, quantitative (valuation) and technical analysis. This common research language allows opportunities to be compared across different fixed income securities, sectors and markets.
A common fixed income research language
Sustainable investing
Our SFDR article 8 and article 9 fixed income funds have been designed to align with our clients’ financial goals and values.
Multi-layered risk management
Disciplined risk management is essential to all our fixed income strategies. Risk is managed actively at every stage of our investment process, with key ideas continuously monitored by portfolio managers and additional layers of oversight provided by investment directors and independent risk teams.
Fixed income insights and research
Explore our fixed income funds
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