The strategy was launched in 2019 and aims to generate absolute returns by capturing alpha opportunities from covered bonds.

The strategy was launched in 2019 and aims to generate absolute returns by capturing alpha opportunities from covered bonds.
UBS GWM’s Apac head of funds investment solutions encourages clients to lock into high quality bond yields.
The Singaporean investment manager’s strongest convictions are towards US equities and government bonds.
Manulife Hong Kong will sell T. Rowe Price’s flagship Diversified Income Bond fund to retail investors.
Lazard Asset Management’s third-quarter outlook makes the case for both emerging market equities and debt.
The Hong Kong-based asset manager expects both Asian investment grade and high yield to remain attractive despite spread tightening.
Bond portfolio managers from some of the biggest US asset managers are expecting market volatility towards year end.
The Dutch asset manager is expanding its capabilities with strategies that seek alpha from sustainable transition.
Andy Suen, co-head of Asia fixed income at PineBridge Investments, expects Asian high-yield bond market performance to continue.
The Asian credit universe is more diversified and balanced in terms of sector and country exposures, says UBS AM.
Part of the Mark Allen Group.