Our fixed income team is among the largest and most experienced in the region, with our fund managers and analysts averaging more than 20 years of financial industry experience respectively. The team manages more than S$50 billion (US$37 billion) worth of fixed income investments, making us one of the largest fixed income managers in the region.
Today, our team covers more than 350 credits globally, including over 250 in the Asia Pacific region. Over the years, we have delivered a proven track record due to our robust investment and risk management processes.
- Money Market
- Core SGD Bonds
- Local Currency
- Investment Grade and High Yield Credit
- Global Rates
- Global Credit
- Emerging Markets Credit
- Renminbi Bonds
- Liability Driven Investing
- FX Strategies and Overlays
Our fixed income process comprises three areas: research, formulation of investment strategy and portfolio construction. A top-down track leads results in macro investment themes that drive our investment strategy, while a bottom-up research track leads to the selection of securities that populate our portfolios.
The investment strategy is combined with the objectives and guides the fund manager to build a portfolio that will deliver outperformance. Risk control and oversight is a fundamental area that underlies the entire process.