International Fixed Income Investment-Grade

Team Introduction

Global Fixed Income Introduction Video

Key Stats

Strategy Profile
Inception Date
October 1, 1997
Strategy AUM ($M)
$ 60.1
Avg. Quality1
Current Yield (%)

Strategy Overview

The International Fixed Income strategy seeks non-U.S. global bond investments offering, in our view, the best combination of high real yield and attractive fundamentals given the team's macroeconomic outlook. This value-based, investment grade-only strategy maintains a primary focus on sovereign debt with a goal of unlocking the potential benefits of mean-reversion tendencies in interest rates and currency valuations. To avoid the inefficiencies of global bond benchmarks, the team takes a benchmark-agnostic approach and limits investment to only the 10-20 countries and currencies we consider attractive investments. For over two decades, the Global Fixed Income team has achieved its risk-adjusted returns by implementing a process of country rotation through the broad global fixed income universe.