Tackling the fixed income market with an active mindset for long-term outcomes
Active Fixed Income overview
With a heritage in insurance dating back almost 200 years, our foundations are deeply rooted in the analysis and understanding of risk.
We believe this is intrinsic to successfully navigating investment opportunities in active fixed income.
Across the globe, our experienced leaders drive a culture of challenge, debate and flexibility. We aim to generate consistent returns by taking calculated, considered risk in areas where structural, behavioural and unique factors can create potential opportunities.
Fixed income, equity and responsible investment experts are closely connected by a global research and engagement platform. This cross-asset-class approach enables open debate to uncover risks and opportunities that may be missed by a more traditional single-asset-class perspective.
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Key risks
The value of an investment and any income taken from it is not guaranteed and can go down as well as up, you may not get back the amount you originally invested. Past performance is no guarantee of future results.
Whilst LGIM has integrated Environmental, Social, and Governance (ESG) considerations into its investment decision-making and stewardship practices, this does not guarantee the achievement of responsible investing goals within funds that do not include specific ESG goals within their objectives.
The risks associated with each fund or investment strategy should be read and understood before making any investment decisions. Further information on the risks of investing in this fund is available in the prospectus at. http://www.lgim.com/fundcentre