We’re market leaders in fixed income investments in Australia
Why Australian fixed income?
Australia’s strong fiscal position, both current and forecast, coupled with a very low debt to GDP.
Robust banking system, underpinned by a strong labour market.
Diversification, value and quality.
- We believe in proprietary fundamental research as a way of uncovering opportunities
- Investors can gain significant diversification benefits through a multi-strategy approach, combined with an understanding of how those strategies come together to represent overall portfolio risk
- We also believe that a strong risk framework is needed for sustainable above benchmark returns to be achieved
- Our product range encompasses a number of strategies and we also can provide both segregated and pooled offerings across our range