Fixed Income
“As responsible stewards of our clients’ assets, we take a dynamic approach to managing risks and delivering on investment results in our portfolios.”
– Angus Hui, Deputy CIO, Head of Fixed Income

Our team-based focus and time-tested processes underpin our expertise as Asian fixed income specialists. We believe a rigorous investment process and extensive credit research capabilities can deliver sustainable long-term returns.
We are guided by our fundamentals-based investment approach with a strong focus on valuation, utilising a combination of top-down macro study and bottom-up credit research analysis.
As a trusted steward of our clients' assets, we have an established track record of managing portfolios for a wide range of investors. Our firm commitment to Asian bond markets has enabled us to establish successful partnerships with our clients from across the region and beyond.
Pan-Asian strategies:
- Asian local currency
- Asian hard currency
- Asian credit
- Asian high yield
- Asian short duration
- Target returns
- Relative returns
Single country strategies:
- RMB bonds
- SGD bonds
