As one of the region’s largest Asia bond managers, we enjoy significant efficiencies of scale. Besides customized solutions, we manage the following fixed income strategies in both local currencies and US dollars:
- Single country Asia
- Global Emerging Markets
A dynamic and multi-factor approach
We seek to capture market opportunities at cyclical turning points when interest rates or credit spreads are at their extremes. We also look for opportunities that arise when shifts in risk perceptions cause assets to be mispriced relative to their fundamentals. Our fundamental, valuation and technical analysis helps us uncover these opportunities. We further enhance returns through active interest rate positioning, credit selection and currency allocation.
In-depth knowledge and experience
We have fixed income teams based in Singapore, Indonesia, Korea, Malaysia, Taiwan, Thailand and Vietnam. We also have fixed income teams in China and India through our joint ventures. Our in-depth knowledge of Asian bonds and close proximity to local markets help us to identify value opportunities and generate potential long-term returns for our clients.