A wealth of expertise in managing active fixed income strategies
Our heritage
With over 50 years' experience as a long-term active fixed income manager, we offer expertise across a broad range of strategies – all designed with our clients’ investment goals in mind. The investment capabilities we focus on include:
Global bond strategies
US credit
Euro credit
Sterling credit
Emerging market debt
Global high yIeld
*Source: LGIM internal data as at 30 June 2024. Includes assets from associates and is based on managed AUM, including £1.5bn from multi-asset strategies.
**AUMs are for active strategies, the bulk of which is in active fixed income.
Insights
Our collection of articles from the Active Fixed Income team features our outlook for the asset class.
Active fixed income at LGIM
Our defining features include:
Our interaction with the Global Research Engagement Groups (GREGs)
Cross-asset expertise is at the core of our approach
At the heart of our investment approach is our cross-asset class research platform – the Global Research & Engagement Groups (GREGs). These bring together our equity, fixed income and investment stewardship experts. They focus on identifying opportunities for potential future gains, as well as aim to avoid the risks that threaten the sustainability of future returns, all while engaging with companies for positive change.
Contact us
Whether you’re looking for advice on institutional investing or a general asset management query, our friendly team will be on hand to support you.
Key risks
The value of any investment and any income taken from it is not guaranteed and can go down as well as up, and investors may get back less than the amount originally invested.
Whilst we have incorporated ESG information into investment decision making and stewardship practices, there can be no assurance that any responsible investing goals will be met.