Global Bonds

Investment Goal

Our strategies seek to generate attractive risk-adjusted returns from Global bond markets around the world.

Our Approach

Focused on proprietary, fundamental credit research and bottom-up portfolio construction seeking duration neutral portfolios with attractive risk/reward characteristics.
Related Strategies

Strategies

Strategy Assets1

Attributes

Inception Date

Information

Global Credit
$26.2M
Investing globally across key fixed income sectors, including IG, HY, Bank Loans and Sovereigns. 1/1/21  
Global Aggregate Bond (Impact)
£612.6M
Seeks mainstream fixed income returns with an environmental or social impact 4/1/17  

1 As of September 30, 2025. At estimated fair value. Includes all assets managed by the MIM fixed income corporate bond team (including assets managed in the related investment strategies shown above). Does not include any assets managed by PineBridge Investments entities acquired by MIM on December 30, 2025.

Investors should carefully consider their investment objectives, risks, fees, charges and expenses before investing any money. To obtain this and other information, please email icg@metlife.com to request more information. Please review the Terms of Use of this site for additional details.