Fixed Income

Highlights of our strategy include:

  • Research-based, relative value-driven process
  • Team approach to portfolio management, research and analysis
  • Specialists’ coverage across credit, interest rates, currency and investment debt with global country research and economic developments
  • Diversified range of strategies covering markets, duration, yield curve and foreign exchange
  • Benchmark-aware, not benchmark-driven
  • Tried and tested investment process, within clear risk framework, with records spanning market cycles

How we’re different:

  • Process: Experience and resources that span the globe and all sectors of the fixed-income markets
  • Proprietary research: Size and global capabilities of our team and the strong lines of communication and cross-coverage provide information advantages
  • People: Small, focused teams have clear ownership and accountability

 


Our regional fixed income strategies

 

Global Developed Markets and Liability Driven Investments: there’s value when you know where to look

Investment Strategy Inception Date GIPS Disclosure Factsheet
Aberdeen Total Return Bond Strategy February 1, 1995 View
Aberdeen Total Return Bond Plus Fixed Income Strategy December 1, 2006 View
Aberdeen U.S. Credit Strategy November 1, 2009 View
Aberdeen U.S. Long Corporate Fixed Income Strategy July 1, 2009 View

Global Emerging Market Debt: improving credit quality amid rapid growth

Investment Strategy Inception Date GIPS Disclosure Factsheet
Aberdeen Emerging Market Debt - Plus Strategy August 1, 1999 View
Aberdeen Emerging Market Debt - Local Currency May 1, 2009 View
Aberdeen Emerging Market Debt - Corporate Bond February 1, 2011 View
Aberdeen Emerging Market Debt - Frontier Markets Strategy October 1, 2013 View

Global High Yield: navigating the globe in the search for income

Investment Strategy Inception Date GIPS Disclosure Factsheet
Aberdeen Global High Yield Strategy November 1, 2004 View