Multi Sector

Investment Goal

While the macro environment may change, our philosophy in seeking alpha remains the same: remaining neutral on duration, avoiding interest rate bets, and employing rigorous bottom-up analysis to identify undervalued credits.​

Our Approach

While the macro environment may change, our philosophy in seeking alpha remains the same: remaining neutral on duration, avoiding interest rate bets, and employing rigorous bottom-up analysis to identify undervalued credits.
£ 148.8 Bn1
Multi Sector assets
Related Strategies

Strategies

Strategy Assets1

Attributes

Inception Date

Fact Sheet

Multi-Sector Fixed Income
£148.8 Bn U.S. investment grade bonds are supplemented with allocations to sovereign and corporate debt in both developed and emerging markets, and structured products. 10/1/2006

Multi-Sector Fixed Income (PDF)

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1 As of June 30, 2025. At estimated fair value. Includes all assets managed by the MIM fixed income core based and multi-sector investment team (including assets managed in the related investment strategies shown above).

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