Objective

Seeks to generate income and long-term growth of capital by providing exposure primarily to investment grade debt securities globally.

Strategy

Seeks to generate returns through a combination of income and capital growth while also managing risks through diversification. Aims to provide access to a diversified set of investment approaches and return drivers, including amongst others: spread sectors, country allocation, bottom-up security selection, industry sector and region rotation and currency.

Fund Facts
Benchmark Bloomberg Global Aggregate Total Return Index (USD) unhedged
Fund Inception Date 12/02/2025
Mimimum Investment € 50,000
Expense Ratio
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