Responsible Horizons Multi-Sector Credit strategy

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Insight’s Responsible Horizons multi-sector credit strategy seeks to generate a total return by investing primarily in a broad range of debt and debt-related securities while taking environmental, social and governance (ESG) factors into account.

The strategy is actively managed and has the flexibility to invest across a wide range of credit assets, while focusing on long-term business sustainability. The strategy will seek to take research on ESG factors into account when making investment decisions, with some exclusions, and it will seek to obtain exposure to issuers which the manager believes have stronger ESG profiles.

To find out more about our strategy and to access our capabilities, please contact your Insight representative.


Access: the strategy targets assets across the full credit spectrum from a well-resourced, highly rated and experienced fixed income team.

Precision: the strategy employs a relative value framework to assess all credit asset classes implemented using Insight’s proprietary Units of Risk budgeting system.

Experience: Insight has extensive track records both within and across credit sub-asset classes through a range of market environments.

Fixed income team in numbers

  • 168 Fixed income investment professionals globally
  • 19years Average experience of fixed income team
  • £224.0bn fixed income assets

As at 31 March 2022. Assets under management (AUM) are represented by the value of cash securities and other economic exposure managed for clients.


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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.