Responsible Horizons Euro Corporate Bond strategy

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The Responsible Horizons Euro Corporate Bond strategy seeks to profit from opportunities in bond and derivative markets, and will only invest where minimum standards for environmental, social and governance (ESG) factors are met.

It also seeks to make a positive impact by favouring issuers with superior sustainability profiles. We will actively engage with companies held in the portfolio if their sustainability profiles deteriorate to try to rectify issues.

Investors can access our global credit capabilities via the Responsible Horizons Euro Corporate Bond Fund, or on a segregated basis.

Please read the shareholder letter regarding the merger of the Insight Sustainable Corporate Bond Fund into the Responsible Horizons Euro Corporate Bond Fund, effective from 27 March 2021.


Unique approach combining core alpha-seeking investment expertise and sustainability criteria: the strategy seeks to outperform a conventional corporate benchmark while also taking ESG and sustainability criteria into account.

Sophisticated management of ESG factors focusing on impact as well as exclusions: the strategy seeks to positively allocate to companies which have superior ESG profiles or are deemed to have a positive impact.

Commitment to engagement: we commit to engage with companies with deteriorating ESG profiles with a view to actively influencing their future behaviour.

Managed by a market-leading responsible investor: Insight Investment has a long-established focus on responsible investment, with ESG factors having been fully integrated into our credit analysis and investment process for many years.

In-depth reporting: Insight offers detailed quarterly reports on ESG and sustainability characteristics of the strategy.

Established strategy and attractive track record: the underlying strategy, on which the Responsible Horizons Euro Corporate Bond strategy is based, has been managed since 2005.

Fixed income team in numbers

  • 114 Fixed income investment professionals globally
  • 18years Average experience of fixed income team
  • €179.2bn fixed income assets

As at 30 June 2021. Assets under management (AUM) are represented by the value of cash securities and other economic exposure managed for clients.


Fund and strategy profiles

Recent thinking

Responsible investment reports

SFDR disclosures

Shareholder information

Important information

The value of investments and any income from them will fluctuate and is not guaranteed (this may be partly due to exchange rate fluctuations). Investors may not get back the full amount invested. Past performance is not a guide to future performance.