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We use global macroeconomic insights, bottom-up company credit analysis, and an assessment of ESG factors to navigate the increasingly complex fixed income market.

Backed by research

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We understand credit, interest rate, inflation, liquidity, and market risks, and we manage against them with the aim of delivering favourable results over the long term.

Multi-tiered risk approach

Initially 30% less than the weighted average carbon intensity (WACI) of the short-dated global corporate index as at 31 December 2021, then a further 7% reduction per year, based on the WACI of the carbon emissions benchmark from the previous year.

Carbon 
emissions

Generate an income and capital return (net of fees) over a period of three years or less.

Financial 
performance

ICE BofA 1-5 Year Global Corporate Index

Benchmark