- A dedicated, highly resourced team focused on delivering precise fixed income outcomes for institutional investors worldwide
- Part of one of the world’s largest institutional investment managers, with US$850bn managed for sophisticated investors
- Managing US$312.8bn in fixed income assets as of December 31, 2025
Global Fixed Income Group Overview
GFIG Overview
- 183 investment professionals in GFIG, including 47 credit research specialists1
- Average 19 years of industry experience; average 12 years at Insight1
- Deep market knowledge across regions and fixed income sectors
- Clear focus on maximizing certainty of clients’ chosen outcomes
- Long-established, consistently applied investment processes
- Combination of fundamental active and systematic strategies to capture a full range of opportunities
- Precision in decision-making driven by diverse skills, perspectives and rigorous research
- GBP and EUR Money Market Funds
- Government bonds across developed and emerging markets
- Global credit across investment grade and high yield
- Global aggregate, core plus, multi-sector credit and strategic bond
- Short dated investment grade and high yield credit strategies
- Buy and maintain strategies designed for long-term, liability-aware investors
- Global absolute return bonds with flexible, risk-managed mandates
- Municipal Bonds and systematic fixed income
- Asset backed securities and secured credit, Global and Enhanced ABS
- Emerging markets debt strategies spanning sovereign and corporate issuers
- GBP and EUR Money Market Funds
- Low-default, illiquid credit through secured lending and loans
- Short duration, high-quality portfolios for public entities’ operating cash
- Tailored solutions to specific cashflow needs and risk tolerances
- Access to the world’s largest and most diverse fixed income market
- Investment grade, multi-sector and high yield strategies
- Structured credit, governments, agencies
- Taxable and tax-exempt municipal bond expertise
- Portfolios managed against traditional and customized benchmarks
- Outcome-oriented design aligned to funding, liability and risk goals
- Solutions built to integrate with regional regulatory requirements and reporting standards
- Global reach across North America, Europe and Asia-Pacific
- Dedicated emerging markets expertise
- Ability to tailor exposures to local market conditions and currency considerations
- Scale, specialisation and global market access
- Proven processes and an experienced team built to deliver clarity and confidence in outcomes
- Comprehensive capabilities, from core bonds to specialised credit and cash solutions