Strategy

Seeks high total returns through current income and long-term capital appreciation by:

  • Investing in corporate and government bonds in the dynamic Asia region

  • Investing its exposure primarily in USD-denominated fixed-income securities issued by Asian issuers

  • Flexibly allocating between Asia high yield and investment-grade credit sectors to deliver strong long-term returns with moderate levels of volatility

Portfolio Management Team



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Investment Risks to Consider

These and other risks are described in the Fund's prospectus

Investment returns and principal value of the Fund will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Some of the principal risks of investing in the Fund include:

  • Derivatives risk
  • Equity securities risk
  • Focused portfolio risk
  • OTC derivatives counterparty risk
  • Portfolio turnover risk


Fund Literature