Aegon Strategic Bond
A dynamic, high conviction, strategic bond fund aiming to maximise risk adjusted returns through the market cycle.
A dynamic, high conviction, strategic bond fund aiming to maximise risk adjusted returns through the market cycle.
An unconstrained multi asset fund managed by an experienced and well regarded team. Watch the Taking Factsheet for the BNY Mellon Real Return Fund with Jake Moeller, Investment Research Consultant.
A multi-asset fund seeking to provide a steady and rising level of income with the potential for some capital growth. Watch the Talking Factsheet for the Aegon Diversified Monthly Income fund with Alex Farlow, Head of Risk Based Solutions Research.
A defensive strategic bond fund focused on attractive opportunities from across the global credit markets whilst minimising interest rate risk.
An attractive choice for long-term oriented investors seeking exposure to some of Japan’s leading companies
A unique fund, providing both inflation protection and access to corporate bond premiums.
This is an interesting strategy which should provide investors with protection against rising interest rates over the long term and a considerably more defensive performance profile than that of the wider high yield bond market.
A focused fund which is managed with a value approach.
An impact global bond fund which invests broadly across fixed income markets with an emphasis on mitigating carbon emissions.
A strategy for the long term investing in global equities with some exposure to emerging markets. Watch the Talking Factsheet for the M&G Global Dividend fund with John Monaghan, Head of Research.