As financial markets across the world evolve and liberalise, new opportunities are being created for investors. Our range of Specialist Markets ETFs seek to offer a transparent and liquid way to access such markets that are opening and growing, such as Indian government bonds, Chinese bonds, and green bonds.

Further reading on our Core Fixed Income range

What distinguishes L&G ETF’s Fixed Income strategies?

ESG integration

Our fixed income ETF range is purpose built to give investors core fixed income exposure with ESG integration as standard, through tilting to issuers with stronger ESG profiles, allocating to green bonds, and excluding controversial sectors and UNGC violators.


Our range benefits from an index approach that is optimised for liquidity and benefits from the expertise of our index portfolio managers and our fixed income dealing team. 

Adding value

We have developed techniques to deliver more value when investing in bonds, such as avoiding crowded trades around rating actions and immediately reinvesting coupons; for the benefit of our investors, we are transparently incorporating these into the investment strategy of these ETFs.


At L&G ETF, we offer solutions that seek to capture the opportunities, and mitigate the risks, of the rapidly shifting investment environment.

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.