Fixed Income

Investment Goal

We seek to generate attractive risk-adjusted returns through a fully integrated team approach that leverages proprietary fundamental research and active trading.

Investment Approach

For over 20 years we have followed a guiding philosophy that while fixed income markets are generally efficient, opportunities often arise from the mispricing of securities that are exposed to credit, prepayment, and/or liquidity risk.
£246.7 Bn1
Fixed Income AUM
£66.0 Bn2
Fixed Income strategy assets

 Deep experience. Deeper team.

Related Strategies

FIXED INCOME

AUM

£7.5 Bn

Index

2000

Available Vehicles

Focused on fundamental credit research and bottom-up portfolio construction.

AUM

£28.4 Bn

Index

2000

Available Vehicles

Focused on highly customised strategies seeking to outperform the long maturity U.S. bond market.

AUM

£4.2 Bn

Index

2000

Available Vehicles

While the macro environment constantly changes, our philosophy to generating alpha remains the same: remaining neutral on duration, avoiding interest rate bets, and employing rigorous bottom-up analysis to identify undervalued credits.

AUM

£2.2 Bn

Index

2000

Available Vehicles

Our strategies seek to outperform their benchmarks by investing primarily in U.S. corporate bonds and leveraged loans rated below investment grade. Portfolios are constructed through a proprietary bottom-up process that prioritizes capital.

AUM

£4.0 Bn

Index

2006

Available Vehicles

Focused on producing attractive risk-adjusted returns over the long term through country and corporate issuer selection.

AUM

£11.9 Bn

Index

1996

Available Vehicles

We utilise a top-down process that seeks to preserve principal while generating higher returns than money market funds. This is accomplished through building a yield advantage over the benchmark by over-weighting allocations to investment grade spread sectors and actively managing those exposures throughout the cycle.
Global Senior Leadership Team

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As of June 30, 2024. At estimated fair value. Includes all Fixed Income assets managed by MIM.

2 As of June 30, 2024. At estimated fair value. Includes all assets managed by MIM in MIM's fixed income third-party strategies (including assets managed in the fixed income investment strategies show above and certain other MIM fixed income investment strategies).

3 Inception date shown represents the earlies inception date of individual strategies. Other strategies have later inception dates.

4 As of June 30, 2024. At estimated fair value.

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This document is being distributed by MetLife Investment Management Limited (“MIML”), authorised and regulated by the UK Financial Conduct Authority (FCA reference number 623761), registered address Level 34 One Canada Square London E14 5AA United Kingdom, for its US affiliate MetLife Investment Management, LLC ("MIM"). This document is only intended for, and may only be distributed to, investors in the UK who qualify as a "professional client" as defined in the FCA's Handbook of Rules and Guidance, and who are already clients of MIM".