Legal & General Strategic Bond Fund
Built to adapt. Driven by results.
Watch ‘The Fixed Income Files: Strategies for a New Era’
In this session, you’ll hear from our fixed income experts Matthew Rees and Amelie Chowna on topics including inflation’s impact on bonds and mitigating volatility. They also share insights to help you navigate the complexities of today’s bond market.
Overview
The Legal & General Strategic Bond Fund seeks to outperform fixed income markets across multiple credit and interest rate cycles. We aim to do this by managing interest rate and asset class exposure across a diversified investment universe of both government and corporate debt. Click here to meet the team.
Active management of interest rate exposure
Diversified exposure to corporate debt
Team-based approach for long-term outcomes
Latest news and views
Quarterly positioning updates from the team
In these regular video updates, the team lay out all the activity in the Strategic Bond Fund over the quarter and describe their strategy for the coming months.
L&G Strategic Bond Fund
What makes a fixed income all-rounder fund? Find out what our investment experts think
Why Fixed Income?
Hear Matthew Rees, Head of Global Bond Strategies, explain why Active Fixed Income at LGIM
Q4 Active Fixed Income Outlook: America decides
Global central banks have begun cutting rates – but the chief market determinant is sure to be (another) generationally consequential US election.
Team-based approach for long-term outcomes
We believe in delivering long-term outcomes for clients through a collaborative and team-based approach. The strategy utilises the full range of LGIM’s active fixed income capabilities, including teams of investment grade credit, emerging markets and high yield research analysts, investment specialists and credit strategists.
Colin Reedie
Lead Portfolio Manager
Head of Active Strategies
Matthew Rees
Deputy Portfolio Manager
Head of Global Bond Strategies
+ 6 team members
Developed Market Investment Grade Credit
Government Bonds
Risk Management
Uday Patnaik
Head of Emerging Markets Debt
+ 7 team members
Emerging Market Debt
John Ryan
Head of High Yield
+12 team members
Global High Yield
In practice
By bringing together specialists from across LGIM, we can distil their expertise into the best ideas for our portfolios, creating an adaptable, repeatable and forward-looking investment process.
Awards should not be considered a recommendation. Past performance is not a guide to the future.
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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