The portfolio manager aims to achieve the performance objective by taking views on the global bond, corporate bond and currency markets by investing in a diverse range of fixed income securities and currencies, including the use of derivatives.
In common with our other funds, the Fund will combine the best ideas of our experienced fixed income specialists, and is able to do so in ways that can reflect both positive and negative views.
It is suitable for use as a stand-alone investment solution for those seeking attractive returns in excess UK bond returns. It also lends itself well to being used in combination with core products to produce customised bond-based return solutions.