fixed income.

fixed income strategies.

Our actively-managed range of fixed income strategies are designed to help you build portfolios that can be closely aligned to your clients’ needs.

Spanning the full credit spectrum – from money market funds through to higher yielding bond strategies in developed and emerging markets, our fixed income teams offer specialist expertise and robust risk management across a wide selection of diverse funds, managed portfolios and mandates, including those designed to meet stringent sustainability targets.

sustainable fixed income.

Focused on the environmental transition to net zero. To view our Sustainable Finance Disclosure Regulation (SFDR) Classifications, click here.

See our sustainable strategies:

global fixed income.

A diverse range of  solutions from sovereign bonds to innovative corporate bonds such as Fallen Angels and unconstrained bond strategies. 

See our global strategies:

regional fixed income.

Credit solutions for specific countries and regions from Swiss Investment Grade to Asian Value Bonds and much in between. 

See our regional strategies:

money market.

Highly-liquid, conservative credit strategies.

See our money market strategies:

Fallen angels radar: optimising recovery potential
investment viewpointsInstitutional
investment viewpointsInstitutionalFallen AngelsWholesale

Fallen angels radar: optimising recovery potential

This issue of Fallen angels radar monitors progression in corporate credit ratings and how our active management approach seeks the best recovery potential.

Can the SNB pause now?
fixed incomefixed income
fixed incomefixed incomeRegionalSwiss Franc bonds

Can the SNB pause now?

The Swiss National Bank once again chose to lower interest rates at its June meeting. What does the move reflect about the SNB’s views on inflation and growth, and should we expect more cuts? 

Managing liquidity risk in Swiss bond portfolios
fixed incomefixed income
fixed incomefixed incomeRegionalSwiss Franc bonds

Managing liquidity risk in Swiss bond portfolios

Swiss bond portfolios are always exposed to a certain amount of liquidity risk, even though the market trades daily. We outline how to adequately manage these risks.

3 years of TargetNetZero investment-grade credit
fixed incomeTNZ Fixed Income

3 years of TargetNetZero investment-grade credit

Three years since launching our high-conviction, net-zero-focused credit strategies, we assess the progress made towards their financial and climate objectives.

10 years of Asia Value Bonds: investing in growth
fixed incomeAsset Management
fixed incomeAsset ManagementInstitutionalConsultantsDBDCInsuranceOfficial institutionsInvestment strategiesWholesaleBanksEndowmentsFund of fundsGeronne IndependantsThird party asset managersfixed incomeAsia value bondsRegional

10 years of Asia Value Bonds: investing in growth

To mark the 10-year anniversary of our Asia Value Bond strategy, we look back at key milestones and look forward to a positive outlook for USD-denominated credit in the region.

LOIM wins six Lipper Awards for Asia Value Bond
media releasesAsset Management
media releasesAsset ManagementInstitutionalConsultantsDBDCInsuranceOfficial institutionsInvestment strategiesThemesCorporateWholesaleBanksEndowmentsFund of fundsGeronne IndependantsThird party asset managersfixed incomeAsia value bondsRegional

LOIM wins six Lipper Awards for Asia Value Bond

LO  Funds – Asia Value Bond Fund wins Best APAC Hard Currency Bond Fund over 10 Years award in six jurisdictions.