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Solutions

We treat investors individually and recommend solutions only after clearly understanding the investment objective. We encourage investors to consider the full investment cycle and the need for a core strategy.

Short Duration Fixed Income (1 – 3yr)

Low sensitivity to interest rate movements

Short Duration Fixed Income (1 – 3yr)

Suitable for low risk investment strategies with a strong correlation to the benchmark.

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Longer Duration Fixed Income (3yrs +)

Higher sensitivity to interest rate movements and actively managed on economic outlook.

Longer Duration Fixed Income (3yrs +)

Suitable for medium risk fixed income strategies.

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Higher Yielding Bonds

Excess return over benchmark (Alpha) generated from higher yielding investments.

Higher Yielding Bonds

Suitable for investors seeking higher returns through wider geographic and credit diversification.

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Multi Asset Return (Balanced Portfolios)

Actively managed mixed asset exposure primarily from fixed income and equities

Multi Asset Return (Balanced Portfolios)

Suitable for investors seeking diversification of income.

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